FONDO NARANJA NASDAQ 100, FI

from 01/07/1988 to 06/06/2026

The price-sensitive information presented in other languages is a literal translation of the price-sensitive information stated in Spanish

    • 14/05/2026
    • 15:57
    • FONDO NARANJA NASDAQ 100, FI
    • Modification regarding where the NAV is disclosed
    • The modification of the place of publication of the net asset value of the UCI is reported. The new place of publication of the net asset value is: La página web de la Sociedad Gestora: www.amundi.es.
    • Register number: 315405