EURIZON FUND from 30/03/2023 to 30/03/2023 The price-sensitive information presented in other languages is a literal translation of the price-sensitive information stated in Spanish 30/03/2023 13:29 EURIZON FUND Incidents regarding NAV Hecho relevante relativo a un error significativo en el cálculo del valor liquidativo de los subfondos EURIZON FUND SLJ LOCAL EMERGING MARKETS DEBT y EURIZON FUND BOND EMERGING MARKETS IN LOCAL CURRENCIES ESG. Register number: 305201