Fund "REITBERGER Asset Management Fund"

Name REITBERGER Asset Management Fund
ISIN VCP8244T1327
Currency EUR
Valuation weekly
Type Mutual Fund
Date 30.08.2018
NAV 44.99
Shares 2'995.5641
Share earnings 0
Share earnings 2 0
Unrealised profit 0
Real estate capital gains 0
Downloads REITBERGER Asset Management Fund Announcement to the Investors 20141120
REITBERGER Asset Management Fund Announcement to the Investors 20150701
REITBERGER Asset Management Fund Announcement to the Investors 20151120
REITBERGER Asset Management Fund Business report 20171231
REITBERGER Asset Management Fund Kurzprospekt 20150701
REITBERGER Asset Management Fund Offering Memorandum 20150701
REITBERGER Asset Management Fund Zeichnungsschein 20161020

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All information is subject to change.

CAIAC International Limited
CAIAC International Limited