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Cartera Naranja 10/90 Fi (0P0001E1ZJ)

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9.894 -0.010    -0.13%
29/10 - Closed. Currency in EUR
  • Morningstar Rating:
  • Total Assets: 107.55M
Type:  Fund
Market:  Spain
Issuer:  Amundi Iberia SGIIC
ISIN:  ES0116356009 
Asset Class:  Equity
Cartera Naranja 10/90 FI 9.894 -0.010 -0.13%

0P0001E1ZJ Overview

 
Information on users’ sentiments for the Cartera Naranja 10/90 Fi 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. %
Aug 08, 2024 Albert Boquera   9.828 Aug 30, 2024 @ 9.907 +0.81%
Mar 24, 2023 Silvia Salgado   9.387 Apr 14, 2023 @ 9.471 +0.89%
Sep 16, 2022 Ricard González   9.607 Oct 07, 2022 @ 9.494 -1.17%
Jul 13, 2022 Juanjo GH   9.710 Aug 05, 2022 @ 9.919 +2.16%
Mar 14, 2022 Raúl Aguilar   10.145 Apr 08, 2022 @ 10.041 +1.02%
Feb 28, 2022 Javier Almagro   10.174 Feb 28, 2022 @ 10.174 0.00%
Aug 02, 2021 Virginia Vega   10.535 Aug 27, 2021 @ 10.552 -0.16%
Jun 16, 2021 Ricard González   10.479 Jul 09, 2021 @ 10.494 +0.14%
Jun 14, 2021 carlos pastor   10.461 Jul 09, 2021 @ 10.494 +0.31%
May 19, 2021 Ricard González   10.410 Jun 11, 2021 @ 10.454 +0.42%
Mar 04, 2021 Jose Luis Martin   10.389 Mar 04, 2021 @ 10.389 0.00%
Feb 25, 2021 Carlos NLl   10.397 Feb 25, 2021 @ 10.397 0.00%
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