info website equity

NAV

NAV 19-11-2024
Value
Equity Fund
1.414,9078
Managed Fund
2.942,1914
Safe Link Plus
3.717,0878
Stable Link
7.511,1009
Steady Fund
5.070,2641
Steady Fund USD
0,209308
Balanced Fund
1.560,8377
NAV 18-11-2024
Value
Equity Fund
1.403,4766
Managed Fund
2.926,3067
Safe Link Plus
3.716,4345
Stable Link
7.510,1731
Steady Fund
5.067,7053
Steady Fund USD
0,209238
Balanced Fund
1.550,8685
NAV 15-11-2024
Value
Equity Fund
1.414,0086
Managed Fund
2.937,8975
Safe Link Plus
3.714,3545
Stable Link
7.505,9325
Steady Fund
5.060,1915
Steady Fund USD
0,209263
Balanced Fund
1.558,3282