Net asset values

Product Date Net asset value Day change Accumulated in year
Azvalor Iberia FI 18/12/2025 193.43 € 0.84 % 29.76 %
Azvalor International FI 18/12/2025 275.88 € 0.35 % 17.31 %
Azvalor Capital FI 18/12/2025 94.38 € 0.11 % -3.76 %
Azvalor Value Selection SICAV 17/12/2025 78.69 € 0.54 % 15.14 %
Azvalor Blue Chips 18/12/2025 212.64 € 0.34 % 12.58 %
Azvalor International Luxembourg R 17/12/2025 200.56 € 0.84 % 11.03 %
Azvalor International Luxembourg I 17/12/2025 2094.39 € 0.84 % 11.49 %
Azvalor Managers FI 18/12/2025 205.55 € 0.17 % 20.05 %
Azvalor Managers Luxembourg I 17/12/2025 20.89 € 0.47 % 18.36 %
Azvalor Blue Chips Luxembourg I 17/12/2025 1908.23 € 0.68 % 13.21 %
Azvalor Blue Chips Luxembourg R 17/12/2025 144.43 € 0.68 % 12.73 %