Fund redemption (off-market) for units before 22.07.2013, the rest must be terminated with 12 months' notice to obtain the NAV price (higher price) or it must be sold on the stock exchange at a worse price, it has distributed an average of 1.5% of the NAV price once a year and achieved a total increase in value of 2.5% in 10 years based on the NAV price, i.e. 0.25% p.a. which, in conjunction with the notice period, are the reasons for selling.

hausInvest
Fondo comune
Fondo comune
ISIN: DE0009807016
Ticker: H5AB
DE0009807016
H5AB