Raiffeisen-Europa-HighYield (R)

The date that is entered is automatically corrected to a valid price date.


Prices From 11/14/2019

 Accumulating trancheFull income-retaining tranche
ISINAT0000796537AT0000765599
NAV216,14291,96
Redemption price216,14291,96

Purchase information pay-out, 11/14/2019

Report executed successfully, but did not return any results!