Russell Investment Company II plc - Russell Investments Euro Fixed Income Fund B Fonds
1.810,98
EUR
+7,34
EUR
+0,41
%
NAV
Werbung
Ausschüttungen Russell Investment Company II plc - Russell Investments Euro Fixed Income Fund B Fonds
Datum | Wert | Währung |
---|---|---|
30.06.21 | 3,710 | EUR |
31.03.21 | 2,656 | EUR |
31.12.20 | 2,460 | EUR |
30.09.20 | 2,555 | EUR |