Allianz Euro Cash Anteilklasse AT
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- ISIN:
- LU2575877977
- Current NAV:
- 111.0602
- Val.date:
- 2026-10-01
- Year to date performance:
- 1.65%
- Manager:
- Allianz Global Investors GmbH
- SFDR:
- Article 8
- Documents: