Net asset values

Product Date Net asset value Day change Accumulated in year
Azvalor Iberia FI 06/11/2025 191.96 € -0.2 % 28.77 %
Azvalor International FI 06/11/2025 266.35 € -0.5 % 13.26 %
Azvalor Capital FI 06/11/2025 93.46 € -0.23 % -4.7 %
Azvalor Value Selection SICAV 06/11/2025 76.52 € -0.48 % 11.97 %
Azvalor Blue Chips 06/11/2025 208.65 € -0.39 % 10.47 %
Azvalor International Luxembourg R 06/11/2025 196.39 € -0.52 % 8.72 %
Azvalor International Luxembourg I 06/11/2025 2049.77 € -0.52 % 9.12 %
Azvalor Managers FI 06/11/2025 198.29 € -0.55 % 15.81 %
Azvalor Managers Luxembourg I 06/11/2025 20.18 € -0.55 % 14.35 %
Azvalor Blue Chips Luxembourg I 06/11/2025 1879.54 € -0.38 % 11.5 %
Azvalor Blue Chips Luxembourg R 06/11/2025 142.33 € -0.38 % 11.09 %