The rate of return achieved by the Fund in the past periods does not guarantee the rate of return of the Fund in the future periods
Unit C (EUR) (TNESCFC)
- NAV 30.4169
- Investor buys 30.4169
- Investor sells 30.4169
Download Unit C (EUR) historical prices as CSV
Last update: 16.01.2025
Graph is generated from Unit C (EUR) data.
- 1 day -0.04%
- YTD 1.18%
- 1 month 0.44%
- 3 months 1.46%
- 6 months -0.23%
- 1 year 11.94%
- 3 years 40.38%
- 5 years -
- 7 years -
- 10 years -
- Since launch 95.92%
eQ unit (EUR) (TRINESQ ET)
- NAV 15.3385
- Investor buys 15.3385
- Investor sells 15.3385
Download eQ unit (EUR) historical prices as CSV
Last update: 16.01.2025
Graph is generated from eQ unit (EUR) data.
- 1 day -0.05%
- YTD 1.31%
- 1 month 0.49%
- 3 months 1.16%
- 6 months -1.02%
- 1 year 12.18%
- 3 years 42.96%
- 5 years -
- 7 years -
- 10 years -
- Since launch 104.28%
Unit D (EUR) (TNESCFD)
- NAV 14.2605
- Investor buys 14.2605
- Investor sells 14.2605
Download Unit D (EUR) historical prices as CSV
Last update: 16.01.2025
Graph is generated from Unit D (EUR) data.
- 1 day -0.04%
- YTD 1.18%
- 1 month 0.44%
- 3 months -5.62%
- 6 months -7.18%
- 1 year 4.13%
- 3 years 11.92%
- 5 years -
- 7 years -
- 10 years -
- Since launch 42.61%
Returns may increase or decrease as a result of currency fluctuations