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Results of investment directions

Life insurance product
Show prices in currency
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Fund name Currency Date NAV Short term returns   
1 day 1 month 3 months 6 months YTD  
Global equities EUR 2021 01 14 105.09 +1.18% +5.09% n/a n/a +4.45%
Medium term bonds EUR 2021 01 14 251.39 -0.01% -0.39% +0.07% +1.64% -0.16%
Short term bonds EUR 2021 01 14 168.42 -0.04% -0.23% -0.21% +0.07% -0.13%

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