PLEIADE ASSET MANAGEMENT

Managed funds

  • NAV11/1920191 yr3 yrs5 yrs
    170.49 €+4.8+25.1+21.9+16.9+45.4
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  • 129.91 €--+12.7+6.5+11.2
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  • 176.25 €+5.4+26.8+15.7+17.80
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