Danske Invest
Suomi Osake K
Fund name | Suomi Osake K Finnish Equity Fund G Finland Aktie T |
ISIN code | FI0008803101 |
Domicile | Finland |
Currency | EUR |
NAV as of 28.03.2024 | 0.77 |
Total assets, mill. 28.03.2024 | EUR 590 |
Shareclass total assets, mill. 28.03.2024 | EUR 140 |
Website | https://www.danskeinvest.fi https://www.danskeinvest.fi https://www.danskeinvest.fi |
Performance scenarios | View |
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PRIIPs KID archive:
15.03.2024
27.06.2023
28.03.2023
30.12.2022
5 year archive of Key Investor Information:
10.02.2022
01.12.2021
17.02.2021
14.02.2020
21.11.2019
01.10.2019