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CBL Optimal Opportunities Fund - EUR

PerformanceDocuments


Over a period of time: 23.04.2019.
Base currency: EUR
NAV per share: 10.83
Daily NAV change: 0.09%
Fund size: 6 040 110 EUR
ISIN code: LV0000400398

Fund's performance

Year to date 3 months 6 months 1 year 3 years 5 years Since inception
7.65% 4.34% 3.74% 2.46% 3.32% 2.44% 0.69%

Download full history (.CSV)