AMUNDI FUNDS GLOBAL AGGREGATE BOND - A EUR (C), performance statistic

ISIN CP: LU0557861274
AMUNDI FUNDS GLOBAL AGGREGATE BOND - A EUR (C), souhrn dat
 
Year / week date
publishing
NAV, assets the number of PC rate change week change month change year
 2025 / 23 06/02/2025 4.0 billion EUR 184.1900 -0.71% -0.28% 0.45% 
 2025 / 22 05/30/2025 4.0 billion EUR 185.5100 0.20% 0.44% 1.77% 
 2025 / 21 05/22/2025 4.0 billion EUR 185.1400 -0.97% -0.12% 1.27% 
 2025 / 20 05/15/2025 4.0 billion EUR 186.9500 0.41% 1.51% 2.05% 
 2025 / 19 05/08/2025 4.0 billion EUR 186.1900 0.81% 2.67% 1.08% 
 2025 / 18 05/02/2025 4.0 billion EUR 184.7000 -0.36% -3.43% 0.46% 
 2025 / 17 04/25/2025 4.0 billion EUR 185.3600 0.65% -3.67% 0.90% 
 2025 / 16 04/17/2025 3.9 billion EUR 184.1700 1.56% -4.44% 0.21% 
 2025 / 15 04/11/2025 3.9 billion EUR 181.3400 -5.19% -4.97% -2.26% 
 2025 / 14 04/04/2025 4.1 billion EUR 191.2700 -0.60% 0.31% 4.36% 
 2025 / 13 03/28/2025 4.1 billion EUR 192.4300 -0.15% -4.09% 4.52% 
 2025 / 12 03/21/2025 4.1 billion EUR 192.7200 0.99% -2.94% 5.08% 
 2025 / 11 03/14/2025 4.1 billion EUR 190.8300 0.08% -3.36% 5.37% 
 2025 / 10 03/07/2025 190.6800 -4.96% -4.99% 5.46% 
 2025 / 9 02/27/2025 4.2 billion EUR 200.6300 1.04% 0.94%
 2025 / 8 02/21/2025 4.2 billion EUR 198.5600 0.55% 1.81%
 2025 / 7 02/14/2025 4.1 billion EUR 197.4700 -1.60% -0.64%
 2025 / 6 02/07/2025 4.2 billion EUR 200.6900 0.97% 1.29%
 2025 / 5 01/31/2025 5.7 billion EUR 198.7700 1.92% 0.58%
 2025 / 4 01/24/2025 4.1 billion EUR 195.0300 -1.87% -0.42%

Poslední zprávy z rubriky Fondy



Perfomance, page description

The page offers history rates for individual mutual funds, including their percentage changes in the last three months, the last year and from the start the fund, historical data on Net Asset Value (NAV) and data about sold and redeemed Participation Certificates (PC) for the respective weeks.
Time: June 7, 2025, 1:48 a.m.
London time: June 7, 2025, 1:48 a.m.
NY time: June 6, 2025, 8:48 p.m.
Tokyo time: June 7, 2025, 9:48 a.m.


 
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