Net asset values

Product Date Net asset value Day change Accumulated in year
Azvalor Blue Chips Luxembourg R 18/09/2024 130.01 € -0.56 % -2.57 % Download
Azvalor Managers Luxembourg I 18/09/2024 16.65 € -0 % 5.63 % Download
Azvalor Blue Chips Luxembourg I 18/09/2024 1708.26 € -0.56 % -2.27 % Download
Azvalor Capital FI 19/09/2024 96.8 € -0.05 % -2.62 % Download
Azvalor Managers FI 19/09/2024 162.84 € 1.21 % 7.4 % Download
Azvalor Blue Chips FI 19/09/2024 190.49 € 0.94 % -1.35 % Download
Azvalor Iberia FI 19/09/2024 149.85 € 1.04 % 3.97 % Download
Azvalor Internacional FI 19/09/2024 237.68 € 1.14 % 1.48 % Download
Azvalor Value Selection SICAV 18/09/2024 69.19 € -0.53 % -3.64 % Download
Azvalor International Luxembourg I 18/09/2024 1905.6 € -0.59 % -0.99 % Download
Azvalor International Luxembourg R 18/09/2024 183.47 € -0.59 % -1.29 % Download