Fondo Naranja Rentabilidad 2025 V FI
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The Fondo Naranja Rentabilidad 2025 V FI, designated by its ISIN ES0136107002, recorded a Net Asset Value (NAV) of 106.20 EUR on 2025-01-15. This figure represents a +0.02% valuation change from the previous NAV report.
For further information regarding the fund's interactive performance chart, top holdings, characteristics, share class details, and key investor documents, users are encouraged to log in to their account where detailed and objective financial data can be accessed.