Remove | Name ISIN | Fund company | First NAV Date NAV | Fund type | Rec. hold.period | Currency | NAV Date NAV | Absolut perf. | |
ESG MIX 10 CZ0008474327 | Erste Asset Management GmbH, pobočka Česká republika | 0.9999 2014-06-02 | Balanced Funds | At least 3 years | CZK | 1.1177 2024-04-23 | 7.89% |
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