• Dňa 25. 09. 2020
  • REF 0.036873 0.00%
  • ABF 0.120236 0.00%
  • KOP 0.037861 -0.04%
  • FLK 0.102613 0.00%
  • M15 0.099697 0.02%
  • ME1 0.104305 0.12%
  • ME2 0.098004 0.04%
  • ME3 0.099072 0.01%
  • ESV 0.098796 0.08%
  • E18 0.09792 0.04%
  • AMG 0.039344 0.18%
  • SEF 0.035616 -0.22%
  • DOP 0.042869 0.20%
  • VRF 0.045658 0.01%
  • APO 0.104062 0.81%

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:

COMPLIANCE

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