Year Fund Document
2024 E1VFVN30 NAV Report
- E1VFVN30 Net Asset Value as of Day 23/04/2024
- E1VFVN30 Net Asset Value as of Day 22/04/2024
- E1VFVN30 Net Asset Value as of Day 21/04/2024
- E1VFVN30 Net Asset Value as of Day 18/04/2024
- E1VFVN30 Net Asset Value as of Day 16/04/2024
- E1VFVN30 Net Asset Value as of Day 15/04/2024
- E1VFVN30 Net Asset Value as of Day 14/04/2024
- E1VFVN30 Net Asset Value as of Day 11/04/2024
- E1VFVN30 Net Asset Value as of Day 10/04/2024
- E1VFVN30 Net Asset Value as of Day 09/04/2024