PWM Funds - Global REITs Selection P USD

YTD 1 mese 3 mesi 6 mesi 1 anno 2 anni 3 anni 5 anni
- -0.54%
12.12.22 - 10.01.23
+7.19%
10.10.22 - 10.01.23
-2.78%
11.07.22 - 10.01.23
-13.57%
10.01.22 - 10.01.23
-10.15%
07.10.21 - 10.01.23
- -
- 89.72 (H)
14.12.2022
89.72 (H)
14.12.2022
96.68 (H)
12.08.2022
103.11 (H)
29.03.2022
104.35 (H)
31.12.2021
- -
- 86.32 (L)
20.12.2022
82.19 (L)
14.10.2022
82.19 (L)
14.10.2022
82.19 (L)
14.10.2022
82.19 (L)
14.10.2022
- -