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Nom de fond  NAV  Issue Price  Redemption Price  Closing Price  Trading Information SIX YTD Perf.  MyFunds
Layer1 Multi Manager Fund L1 Digital SICAV - Layer1 Multi Manager Fund Regular Class S25
LI1109022304
Q
67.79 USD
31.12.2022
Layer1 Multi Manager Fund L1 Digital SICAV - Layer1 Multi Manager Fund Regular Class S26
LI1109022312
Q
42.18 USD
31.12.2022
Layer1 Multi Manager Fund L1 Digital SICAV - Layer1 Multi Manager Fund Regular Class S27
LI1109022320
Q
42.35 USD
31.12.2022
Layer1 Multi Manager Fund L1 Digital SICAV - Layer1 Multi Manager Fund Regular Class S28
LI1109022338
Q
34.04 USD
31.12.2022
Layer1 Multi Manager Fund L1 Digital SICAV - Layer1 Multi Manager Fund Regular Class S29
LI1109022346
Q
70.63 USD
31.07.2024
+21.27%
Layer1 Multi Manager Fund L1 Digital SICAV - Layer1 Multi Manager Fund Regular Class S30
LI1109022353
Q
77.14 USD
31.07.2024
+21.27%
Layer1 Multi Manager Fund L1 Digital SICAV - Layer1 Multi Manager Fund Regular Class S31
LI1109022361
Q
106.89 USD
31.07.2024
+21.08%
Layer1 Multi Manager Fund L1 Digital SICAV - Layer1 Multi Manager Fund Regular Class S32
LI1109022379
Q
102.10 USD
31.07.2024
+21.69%
Layer1 Multi Manager Fund L1 Digital SICAV - Layer1 Multi Manager Fund Regular Class S33
LI1109022387
Q
94.49 USD
31.07.2024
+21.75%
Layer1 Multi Manager Fund L1 Digital SICAV - Layer1 Multi Manager Fund Regular Class S34
LI1109022395
Q
116.74 USD
31.07.2024
+20.09%
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Q
Fonds destiné aux investisseurs qualifiés
E
Le fonds est un ETF / Le fonds est un ETSF
S
Le fonds est un Sponsored Fund
* NAV / Issue Price commissions non comprises, pour des fonds cotés NAV ou cours de clôture