Net asset values

Product Date Net asset value Day change Accumulated in year
Azvalor Iberia FI 16/10/2025 195.03 € 0.12 % 30.83 %
Azvalor International FI 16/10/2025 256.57 € -0.41 % 9.1 %
Azvalor Capital FI 16/10/2025 92.61 € -0.31 % -5.56 %
Azvalor Value Selection SICAV 16/10/2025 73.02 € -0.64 % 6.85 %
Azvalor Blue Chips 16/10/2025 196.74 € -0.92 % 4.16 %
Azvalor International Luxembourg R 16/10/2025 188.65 € -0.68 % 4.43 %
Azvalor International Luxembourg I 16/10/2025 1968.51 € -0.68 % 4.79 %
Azvalor Managers FI 16/10/2025 202.33 € -0.74 % 18.17 %
Azvalor Managers Luxembourg I 16/10/2025 20.59 € -0.73 % 16.67 %
Azvalor Blue Chips Luxembourg I 16/10/2025 1773.55 € -0.91 % 5.22 %
Azvalor Blue Chips Luxembourg R 16/10/2025 134.33 € -0.91 % 4.85 %