Net asset values

Product Date Net asset value Day change Accumulated in year
Azvalor Iberia FI 14/11/2025 193.51 € -0.18 % 29.81 %
Azvalor International FI 14/11/2025 271.15 € -0.06 % 15.3 %
Azvalor Capital FI 14/11/2025 93.61 € 0.04 % -4.55 %
Azvalor Value Selection SICAV 14/11/2025 77.48 € 0.01 % 13.37 %
Azvalor Blue Chips 14/11/2025 211.8 € 0.15 % 12.14 %
Azvalor International Luxembourg R 14/11/2025 199.45 € 0.12 % 10.42 %
Azvalor International Luxembourg I 14/11/2025 2081.99 € 0.13 % 10.83 %
Azvalor Managers FI 14/11/2025 200.18 € -0.57 % 16.91 %
Azvalor Managers Luxembourg I 14/11/2025 20.37 € -0.56 % 15.42 %
Azvalor Blue Chips Luxembourg I 14/11/2025 1907.51 € 0.15 % 13.16 %
Azvalor Blue Chips Luxembourg R 14/11/2025 144.43 € 0.15 % 12.73 %