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Alfred Berg Gambak - fondkurs, utveckling, historik, avgifter

Fonden vann priset för kategorin norska aktier i 2015  64, Alfred Berg Kapitalforvaltning AS, 821389, Alfred Berg GAMBAK, NOK, 1.8, Övriga länder, NO0010105489, N, J, J, 0, 2004-01-30, 2017-05-22, 5. 65, Alfred  Alfred Berg Fonder ISIN ESMA Morningstar Alfred Berg Sverige Plus A SE0000709271 6 **** 1,75 % 0,90 % Alfred Berg Gambak NO0010105489 6 ***** 1,80  Alfred Berg Gambak ÙÙÙÙÙ 12,27% 6 1,80% 10,00% NO0010105489 Alfred Berg Gambak förvaltas av Leif Eriksrød och Petter Tusvik. Fonden vann priset för  NO0010105489 6 ***** 1,80 % 0,75 % Alfred Berg Aktiv NO0010089444 6 **** 1,50 % 0,60 % Alfred Berg Nordic Best Selection NO0010089527 7 *** 1,50 % NO0010105489: Manager & start date: Leif Eriksr d. 01 Aug 2010. Pricing frequency: Daily: Fund size: 782.81m GBP As of Mar 31 2021. Share class size: 782.26m GBP As The videos and white papers displayed on this page have not been devised by The Financial Times Limited ("FT"). FT has not selected, modified or otherwise exercised control over the content of the videos or white papers prior to their transmission, or their receipt by you.

No0010105489

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AMF. AMF Aktiefond Asien Stilla havet. SE0002572313. AMF Aktiefond Europa. SE0000739153.

PRISLISTA - FONDUTBUD - PDF Free Download - DOKODOC.COM

View & analyze the 0P00000MVR fund chart by total assets, risk rating, Min. investment, market cap and category. ISIN: NO0010105489 Alfred Berg Kapitalforvaltning AS, orgnr 956241308, et selskap i BNP Paribas Group.

No0010105489

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No0010105489

01 Aug 2010. Pricing frequency: Daily: Fund size: 782.81m GBP As of Mar 31 2021. Share class size: 782.26m GBP As The videos and white papers displayed on this page have not been devised by The Financial Times Limited ("FT"). FT has not selected, modified or otherwise exercised control over the content of the videos or white papers prior to their transmission, or their receipt by you. NO0010105489 Alfred Berg Gambak C NOK CAPITALISATION . NAV 3/21 2021 1 year 3 years 5 years; 44 679.25 NOK +4.8 +7.2 +32.9 +54-Correlated funds: See more See less NO0010105489 Alfred Berg Gambak C NOK Cap : Last NAV: 22/04/2021: 45 507.0924 NOK +1.25 % Documents Taxes Dividends Hist.

No0010105489

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NAV 3/21 2021 1 year 3 years 5 years; 44 679.25 NOK +4.8 +7.2 +32.9 +54-Correlated funds: See more See less NO0010105489 Alfred Berg Gambak C NOK Cap : Last NAV: 22/04/2021: 45 507.0924 NOK +1.25 % Documents Taxes Dividends Hist. Prices Price Order Ref. Data Security Fondskurser for Alfred Berg Gambak i tillegg til Morningstar Rating, analyser, historisk avkastning og grafer. Synthèse NO0010105489 Alfred Berg Gambak C NOK CAPITALISATION cours (valeur liquidative), performance et classement du fonds par catégorie et indice de référence, assurance vie, reporting, gestion, actualité Find our live Alfred Berg Gambak fund basic information. View & analyze the 0P00000MVR fund chart by total assets, risk rating, Min. investment, market cap and category.

Allmänt; Diagram. Alfred Berg Gambak, NO0010105489:NOK. Alfred Berg Nordic Investment Grade FO, NO0010769615:NOK. Alfred Berg (BNP Paribas AM) Short Global Credit -  Typ: Fond. Marknad: Norge. Utgivare: Alfred Berg Kapitalforvaltning AS. ISIN: NO0010105489.
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NO0010105489. OBX. 3990. 1.11.1990. GDAKSVE SS Equity Indecap Guide Sverige A. SE0001114695 . 17 May 2016 NO0010105489.

Alfred Berg Norge Alfred Berg Gambak NO0010105489 2,00 2,00 0,90 Nei Alfred Berg Norge Alfred Berg Kombi NO0010105505 1,50 1,00 0,75 Nei Alliance  NO0010105489. Alfred Berg Norge Global. NO0010089501. Alfred Berg Norge Humanfond. NO0010032055.
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Företagsprofil för Alfred Berg Gambak - Investing.com

10/24/ 1990.