Bankhaus Bauer Premium Select

Back to overview

Key Information

ISIN LU0368522677
WKN A0Q4CY
Management Company Alceda Fund Management S.A.
Custodian Bank European Depositary Bank SA
Inception Date 14.07.2008
Fiscal Year End 01.11. - 31.10.
Distribution Policy Distributing
Pricing daily

Prices as of 17 Apr 2020

Currency EUR
Issue Price EUR 113.41
Last Redemption Price EUR 109.05
Previous Redemption Price 16 Apr 2020 EUR 108.25
Change to the Previous Redemption Price 16 Apr 2020 EUR 0.80
Interim Profit EUR 0.00
Equity Gain 0.00%
Equity Gain (KStG) 0.00%
Real Estate Gain 0.00%
Last Distribution EUR 0.2700 / 30.01.2017

Products and Price Information

Access to products and price information is subject to the following restrictions and terms of use.

1. Please select the investortype:

2. Select your country of origin:

  •  (31)
  •  (29)
  •  (24)
  •  (33)
  •  (14)
  •  (15)
  •  (15)
  •  (13)
  •  (1)

Please check:

Please complete the form above!