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Ofi Invest Oblig International (0P00000HE3)

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108.790 +0.390    +0.36%
02/05 - Closed. Currency in EUR ( Disclaimer )
  • Morningstar Rating:
  • Total Assets: 303.92M
Type:  Fund
Market:  France
Issuer:  Aviva Investors France
ISIN:  FR0000097495 
Asset Class:  Bond
Aviva Oblig International 108.790 +0.390 +0.36%

0P00000HE3 Overview

 
Information on users’ sentiments for the Ofi Invest Oblig International fund, which are displayed both on charts of different periods of time and on a detailed table.
Start Date Username Call Open Rate End Date Chg. %
Feb 08, 2024 Thomas Jourdainne   109.340 Mar 01, 2024 @ 108.930 +0.37%
Dec 01, 2023 Thomas Jourdainne   108.980 Dec 22, 2023 @ 109.510 +0.49%
Oct 05, 2023 Thomas Jourdainne   104.210 Nov 30, 2023 @ 108.380 -4.00%
Apr 06, 2023 Thomas Jourdainne   106.240 May 09, 2023 @ 106.490 +0.24%
Feb 21, 2023 Thomas Jourdainne   105.790 Mar 17, 2023 @ 105.150 -0.60%
Nov 23, 2022 Thomas Jourdainne   105.760 Dec 16, 2022 @ 104.860 -0.85%
Aug 24, 2022 Thomas Jourdainne   108.470 Sep 16, 2022 @ 106.150 -2.14%
Jul 22, 2022 Thomas Jourdainne   106.970 Aug 13, 2022 @ 110.170 +2.99%
Apr 21, 2022 Thomas Jourdainne   113.960 May 13, 2022 @ 109.790 +3.66%
Mar 22, 2022 Thomas Jourdainne   117.250 Apr 21, 2022 @ 113.960 -2.81%
Jan 20, 2022 Thomas Jourdainne   123.550 Jan 31, 2022 @ 122.590 -0.78%
Dec 21, 2021 Thomas Jourdainne   125.380 Jan 14, 2022 @ 124.560 -0.65%
Oct 19, 2021 Thomas Jourdainne   128.180 Nov 12, 2021 @ 129.060 +0.69%
Sep 06, 2021 Thomas Jourdainne   129.720 Oct 01, 2021 @ 129.000 -0.56%
Jun 22, 2021 Thomas Jourdainne   128.370 Jul 16, 2021 @ 128.880 +0.40%
May 18, 2021 Thomas Jourdainne   126.710 Jun 11, 2021 @ 128.010 +1.03%
Oct 01, 2018 Antoine Muracciole   126.040 Oct 31, 2018 @ 124.500 +1.22%
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