Display fund comparison

Uni-Global Minimum Variance Emerging Markets B2 Wait

YTD 1 month 3 months 6 months 1 year 2 years 3 years 5 years
+4.30%
28.12.12 - 21.05.13
+2.92%
22.04.13 - 21.05.13
+4.39%
21.02.13 - 21.05.13
+8.41%
21.11.12 - 21.05.13
+15.08%
21.05.12 - 21.05.13
+10.60%
23.05.11 - 21.05.13
+46.51%
25.05.10 - 21.05.13
+31.41%
25.03.10 - 21.05.13
1,324.09 (H)
08.05.2013
1,324.09 (H)
08.05.2013
1,324.09 (H)
08.05.2013
1,324.09 (H)
08.05.2013
1,324.09 (H)
08.05.2013
1,324.09 (H)
08.05.2013
1,324.09 (H)
08.05.2013
1,324.09 (H)
08.05.2013
1,238.52 (L)
22.03.2013
1,275.33 (L)
23.04.2013
1,238.52 (L)
22.03.2013
1,216.10 (L)
21.11.2012
1,111.41 (L)
04.06.2012
1,015.09 (L)
04.10.2011
899.83 (L)
25.05.2010
899.83 (L)
25.05.2010

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NAV / Issue Price exclusive commissions, for listed funds NAV or closing price