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Luxembourg - Funds

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Condition

Frequency

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%

Frequency

Frequency

Delivery Method

Status

 NameSymbolLastChg. %Total AssetsTime
 Larrain Vial Asset Management SICAV - Small & Mid 0P0000.89.396-0.31%682.77M25/04 
 Lemanik SICAV - Spring Capitalisation Institutiona0P0001.118.180+0.05%207.03M25/04 
 Lemanik SICAV - Spring Capitalisation Retail EUR0P0000.11,512.643+0.04%207.03M25/04 
 Lemanik SICAV - Spring Capitalisation Retail CHF0P0001.109.120+0.04%207.03M25/04 
 Lemanik SICAV High Growth Capitalisation Retail 0P0000.254.735-0.71%58.22M25/04 
 Lemanik SICAV High Growth Capitalisation Institu0P0000.425.013-0.71%39.46M25/04 
 Lemanik SICAV - Italy Capitalisation Institutional0P0000.130.068-0.39%63.76M25/04 
 Lemanik SICAV - Global Equity Opportunities Capita0P0000.241.815-0.50%54.93M25/04 
 Lemanik SICAV - Global Equity Opportunities Capita0P0000.20.735-0.42%54.93M25/04 
 Lemanik SICAV Asian Opportunity Capitalisation Ret0P0000.18.649-1.18%27.4M25/04 
 Lemanik SICAV Asian Opportunity Capitalisation Ins0P0000.307.600-1.17%2.9M25/04 
 Lemanik SICAV - European Special Situations Capita0P0000.25.093-0.46%12.81M25/04 
 Lemanik SICAV - Italy Capitalisation Retail EUR A0P0000.24.469-0.44%63.76M25/04 
 VTB Capital IM Russian Market A0P0000.120.140-2.01%24.85M23/02 
 Lemanik SICAV - Flex Quantitative HR6 Capitalisati0P0000.109.395-0.07%20.06M25/04 
 Lemanik SICAV - Flex Quantitative HR6 Capitalisati0P0000.120.416-0.07%20.06M25/04 
 Lemanik SICAV - Flex Quantitative HR6 Distribution0P0001.98.638-0.07%20.06M25/04 
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