ANIMA LIQUID EU/CL A CAP NM - Hľadaj v databáze ISIN


 


ISIN meno, popis nominál
 INF846K01412 AXIS LF GROWTH
AXIS ASSET MANAGEMENT COMPANY LIMITED-AXIS LIQUID FUND-GROWTH
10.0000 
 INF846K01453 AXIS LF M-DIV-POUT
AXIS ASSET MANAGEMENT COMPANY LIMITED-AXIS LIQUID FUND-MONTHLY DIVIDEND-PAYOUT
10.0000 
 INF846K01461 AXIS LF M-DIV-RINV
AXIS ASSET MANAGEMENT COMPANY LIMITED-AXIS LIQUID FUND-MONTHLY DIVIDEND-REINVESTMENT
10.0000 
 INF846K01362 AXIS LF R-D-DIV RINV
AXIS ASSET MANAGEMENT COMPANY LIMITED-AXIS LIQUID FUND-RETAIL DAILY DIVIDEND REINVESTMENT
10.0000 
 INF846K01354 AXIS LF R-GROWTH
AXIS ASSET MANAGEMENT COMPANY LIMITED-AXIS LIQUID FUND-RETAIL GROWTH OPTION
10.0000 
 INF846K01396 AXIS LF R-M-DIV POUT
AXIS ASSET MANAGEMENT COMPANY LIMITED-AXIS LIQUID FUND-RETAIL MONTHLY DIVIDEND PAYOUT
10.0000 
 INF846K01404 AXIS LF R-M-DIV RINV
AXIS ASSET MANAGEMENT COMPANY LIMITED-AXIS LIQUID FUND-RETAIL MONTHLY DIVIDEND REINVESTMENT
10.0000 
 INF846K01370 AXIS LF R-W-DIV POUT
AXIS ASSET MANAGEMENT COMPANY LIMITED-AXIS LIQUID FUND-RETAIL WEEKLY DIVIDEND PAYOUT
10.0000 
 INF846K01388 AXIS LF R-W-DIV RINV
AXIS ASSET MANAGEMENT COMPANY LIMITED-AXIS LIQUID FUND-RETAIL WEEKLY DIVIDEND REINVESTMENT
10.0000 
 INF846K01438 AXIS LF W-DIV-POUT
AXIS ASSET MANAGEMENT COMPANY LIMITED-AXIS LIQUID FUND-WEEKLY DIVIDEND-PAYOUT
10.0000 
 INF846K01446 AXIS LF W-DIV-RINV
AXIS ASSET MANAGEMENT COMPANY LIMITED-AXIS LIQUID FUND-WEEKLY DIVIDEND-REINVESTMENT
10.0000 
 INF955L01AL0 BARODA LFDP GR
BARODA PIONEER AMC LTD#BARODA PIONEER MF-BARODA PIONEER LIQUID FUND-PLAN B (DIRECT)-GROWTH
1 000.0000 
 INF955L01AM8 BARODA LFDP WDIVR
BARODA PIONEER AMC LTD#BARODA PIONEER MF-BARODA PIONEER LIQUID FUND-PLAN B (DIRECT)-WEEKLY DIV REINV
1 000.0000 
 INF955L01AK2 BARODA LFDP DDIVR
BARODA PIONEER AMC LTD#BARODA PIONEER MF-BARODA PIONEER LIQUID FUND-PLAN B(DIRECT)-DAILY DIV REINV
1 000.0000 
 INF955L01AN6 BARODA LFDP WDIVP
BARODA PIONEER AMC LTD#BARODA PIONEER MF-BARODA PIONEER LIQUID FUND-PLAN B(DIRECT)-WKLY DIVIDEND PAY
1 000.0000 
 INF955L01468 BARODA P LF-INSL-DDP
BARODA PIONEER ASSET MGNT CO LTD-BARODA PIONEER LIQUID FUND-INSTITUTIONAL-DAILY DIVIDEND PAYOUT
1 000.0000 
 INF955L01484 BARODA P LF-INTL-GR
BARODA PIONEER ASSET MGNT CO LTD-BARODA PIONEER LIQUID FUND-INSTITUTIONAL-GROWTH
1 000.0000 
 INF955L01492 BARODA P LF-INTL-WDP
BARODA PIONEER ASSET MGNT CO LTD-BARODA PIONEER LIQUID FUND-INSTITUTIONAL-WEEKLY DIVIDEND PAYOUT
1 000.0000 
 INF955L01476 BARODA P LF-INTL-DDR
BARODA PIONEER ASSET MGNT CO LTD-BARODA PIONEER LIQUID FUND-INSTL-DAILY DIV REINVESTMENT
1 000.0000 
 INF955L01500 BARODA P LF-INTL-WDR
BARODA PIONEER ASSET MGNT CO LTD-BARODA PIONEER LIQUID FUND-INSTL-WEEKLY DIV REINVESTMENT
1 000.0000 
 INF955L01518 BARODA P LF-RGLR-DDP
BARODA PIONEER ASSET MGNT CO LTD-BARODA PIONEER LIQUID FUND-REGULAR-DAILY DIVIDEND PAYOUT
1 000.0000 
 INF955L01526 BARODA P LF-RGLR-DDR
BARODA PIONEER ASSET MGNT CO LTD-BARODA PIONEER LIQUID FUND-REGULAR-DAILY DIVIDEND REINVESTMENT
1 000.0000 
 INF955L01559 BARODA P LF-RGLR-DVP
BARODA PIONEER ASSET MGNT CO LTD-BARODA PIONEER LIQUID FUND-REGULAR-DIVIDEND PAYOUT
1 000.0000 
 INF955L01567 BARODA P LF-RGLR-DVR
BARODA PIONEER ASSET MGNT CO LTD-BARODA PIONEER LIQUID FUND-REGULAR-DIVIDEND REINVESTMENT
1 000.0000 
 INF955L01575 BARODA P LF-RGLR-GR
BARODA PIONEER ASSET MGNT CO LTD-BARODA PIONEER LIQUID FUND-REGULAR-GROWTH
1 000.0000 

Čas: 6. október 2024 7:24:34
Londýn čas: 6. október 2024 6:24:34
NY čas: 6. október 2024 1:24:34
Tokio čas: 6. október 2024 14:24:34


 
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