IRIS FINANCE

Managed funds

  • NAV9/2120211 yr3 yrs5 yrs
    159.08 €+0.5+20.9+30.9+20.6+26.1
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  • 294.63 €+1.3+25.9+35.9+17.9+32.7
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  • 77.86 €--+3.2+0.3+3.4
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  • 43.22 €---2.4-34.6-27
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