- Dňa 23. 03. 2023
- ZPF 0.089096 0.36%
- REF 0.03652 0.05%
- ABF 0.109683 0.22%
- KOP 0.036498 0.26%
- FLK 0.096296 0.42%
- M15 0.093268 0.36%
- M30 0.090084 0.26%
- E18 0.09805 0.13%
- AMG 0.038872 0.03%
- SEP 0.029442 0.30%
- DOP 0.045364 0.21%
- VRF 0.038004 0.33%
- APO 0.131981 -0.74%
Documents
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
ESG product information_version 01 01 2023 | ||
Summary of the sustainability policy_version 01 01 2023 | ||
Principal adverse sustainability impacts statement |