• Dňa 21. 05. 2025
  • FLE 0.100242 -0.45%
  • REF 0.039433 -0.02%
  • ABF 0.121793 -0.36%
  • KOP 0.040142 -0.08%
  • AMG 0.043576 -0.22%
  • SEP 0.036569 -0.15%
  • DOP 0.054234 -0.30%
  • VRF 0.046121 -0.75%
  • APO 0.177239 -0.59%
  • STO 0.121187 -0.92%

LEI

The company Eurizon Asset Management Slovakia, správ. spol., a.s. and the funds, which the company manages, have the following LEI (Legal Entity Identifier) codes:

Sustainability-related disclosures

Compliance

Annual reports