Fund overview - Germany
VV-Strategie - LBBW Dynamik -T2-
ISIN: LU0336102891
Fund value on: 28.06.2018
| Issue Price | 1094,46 | EUR | |
| Redemption Price | 1032,51 | EUR | |
| Equity Participation Rate | 77.09 | % | |
| Real Estate Participation | 0.0 | % | |
| Share in the Total Fund Assets | 20.71 | % |