Return per 31/08/2020
currency1_year3_year5_year10_yearSince startYTD
Class CEUR-7,95%----2,96%-10,26%
Start date Class C: 31/07/2018, Start value: € 25.00

The evolution of the NAV and the yield figures have been calculated on a historical basis and are not a reliable indication for the future. They also do not take into account entry and exit costs and taxes. The figures are calculated by Value Square NV. In the case of a distribution class, the returns take account of the reinvestment of gross dividends distributed by the sub-fund.

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