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Azvalor Managers Fi (0P0001F2GG)

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168.532 -0.700    -0.41%
19/12 - Delayed Data. Currency in EUR
Type:  Fund
Market:  Spain
Issuer:  azValor Asset Management SGIIC
ISIN:  ES0112602000 
Asset Class:  Equity
  • Morningstar Rating:
  • Total Assets: 115.78M
Azvalor Managers FI 168.532 -0.700 -0.41%

Azvalor Managers Fi Overview

 
Information on users’ sentiments for the Azvalor Managers Fi fund, which are displayed both on charts of different periods of time and on a detailed table.
Start Date Username Call Open Rate End Date Chg. %
Nov 20, 2024 Eugenio García...   174.031 Dec 13, 2024 @ 176.611 +1.48%
Oct 10, 2024 Eugenio García...   169.228 Nov 01, 2024 @ 170.725 +0.88%
Aug 21, 2024 Manuel Sanchez...   160.148 Sep 13, 2024 @ 158.937 -0.76%
Aug 20, 2024 Eugenio García...   157.581 Sep 13, 2024 @ 158.937 -0.86%
Aug 15, 2024 Manuel Sanchez...   157.581 Aug 15, 2024 @ 157.581 0.00%
Feb 23, 2023 Pedro Val Melús   142.457 Mar 17, 2023 @ 135.107 -5.16%
Mar 03, 2021 ANTONIO Tonino   103.958 Mar 26, 2021 @ 108.199 +4.08%
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