- Dňa 15. 05. 2024
- ZPF 0.097159 0.60%
- REF 0.038043 0.04%
- ABF 0.117785 0.40%
- KOP 0.038458 0.32%
- FLK 0.099501 0.47%
- M15 0.098764 0.36%
- M30 0.097822 0.56%
- AMG 0.04252 0.51%
- SEP 0.033669 0.23%
- DOP 0.051478 0.80%
- VRF 0.044067 0.46%
- APO 0.172727 0.79%
- STO 0.115444 0.73%
Documents
LEI
The company Eurizon Asset Management Slovakia, správ. spol., a.s. and the funds, which the company manages, have the following LEI (Legal Entity Identifier) codes: