Fund Pricing
Tuesday, 18 May 2010 20:37
Net Asset Value (NAV) as of 21.02.2012:
Institutional Class (IC):
EUR: 100,47
SEK: 92,16
NOK: 96,48
USD: 110,37
Retail Class (RC):
EUR: 99,54
SEK: 91,33
NOK: 95,56
Last Updated ( Wednesday, 22 February 2012 14:14 )




