Investment Funds

Description

Behavior

Annual return

  • 2023
  • 22.03%
  • 2022
  • 3.37%
  • 2021
  • 18.91%
  • 2020
  • -7.91%
  • 2019
  • 17.38%

Return

  • 1 month
  • -0.71%
  • 3 months
  • -3.05%
  • 6 months
  • 1.62%
  • 1 year
  • 4.80%
  • APR 3 years
  • 11.95%
  • APR 5 years
  • 7.53%

*Past performance is not a reliable indicator of future performance.

Liquidating value

Return between 04/03/2023 - 29/02/2024
4,027 %

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Fund detail

ISIN

LU0292622254

Address

Portugal

Currency

EUR

Class

I

Minimum investment

0 EUR

Investment to be maintained

0 EUR

CNMV Category

Renta Variable Euro

Assets

Participants

Net asset value a

7,85 EUR