Net asset values

Product Date Net asset value Day change Accumulated in year
Azvalor Iberia FI 27/11/2025 195.36 € 0.6 % 31.05 %
Azvalor International FI 27/11/2025 270.75 € 0.24 % 15.13 %
Azvalor Capital FI 27/11/2025 93.68 € 0.09 % -4.47 %
Azvalor Value Selection SICAV 27/11/2025 77.77 € 0.27 % 13.8 %
Azvalor Blue Chips 27/11/2025 210.63 € 0.15 % 11.51 %
Azvalor International Luxembourg R 27/11/2025 198.66 € 0.27 % 9.98 %
Azvalor International Luxembourg I 27/11/2025 2074.03 € 0.27 % 10.41 %
Azvalor Managers FI 27/11/2025 204.4 € 0.14 % 19.38 %
Azvalor Managers Luxembourg I 27/11/2025 20.78 € -0 % 17.74 %
Azvalor Blue Chips Luxembourg I 27/11/2025 1894.13 € -0 % 12.37 %
Azvalor Blue Chips Luxembourg R 27/11/2025 143.39 € -0 % 11.92 %