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LAST NAV : 170,61 SEK    - 21-05-2019
  Fund
  NAV Perf.
W 21 2019170,61 SEK16,65%
W 20 2019169,54 SEK15,92%
W 19 2019174,35 SEK19,21%
W 18 2019177,94 SEK21,66%
W 17 2019175,93 SEK20,29%
W 16 2019173,48 SEK18,61%
W 15 2019171,13 SEK17%
W 14 2019170,01 SEK16,24%
W 13 2019164,97 SEK12,79%
W 12 2019167,62 SEK14,6%
W 11 2019165,91 SEK13,43%
W 10 2019166,07 SEK13,54%
W 09 2019166,17 SEK13,61%
W 08 2019164,46 SEK12,44%
W 07 2019160,87 SEK9,99%
W 06 2019159,63 SEK9,14%
W 05 2019156,17 SEK6,78%
W 04 2019154,04 SEK5,32%
W 03 2019150,64 SEK2,99%
W 02 2019150 SEK2,56%
W 01 2019145,8 SEK-0,31%
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