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LAST NAV : 153,48 SEK    - 18-07-2017
  Fund
  NAV Perf.
W 29 2017153,48 SEK6,69%
W 28 2017154,16 SEK7,16%
W 27 2017154,71 SEK7,54%
W 26 2017156,74 SEK8,95%
W 25 2017158,78 SEK10,37%
W 24 2017157,78 SEK9,68%
W 23 2017157,69 SEK9,61%
W 22 2017157,35 SEK9,38%
W 21 2017156,59 SEK8,85%
W 20 2017159,05 SEK10,56%
W 19 2017158,63 SEK10,27%
W 18 2017156,26 SEK8,62%
W 17 2017155,26 SEK7,92%
W 16 2017151,68 SEK5,44%
W 15 2017152,9 SEK6,28%
W 14 2017152,64 SEK6,1%
W 13 2017149,52 SEK3,93%
W 12 2017149,98 SEK4,25%
W 11 2017149,47 SEK3,9%
W 10 2017149,47 SEK3,9%
W 09 2017148,87 SEK3,48%
W 08 2017149,06 SEK3,61%
W 07 2017147,16 SEK2,29%
W 06 2017145,43 SEK1,09%
W 05 2017143,61 SEK-0,18%
W 04 2017143,92 SEK0,04%
W 03 2017143,9 SEK0,03%
W 02 2017145,13 SEK0,88%
W 01 2017145,21 SEK0,84%
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