Generali Investments - Central & Eastern European Bond Fund AY Fonds
Ausschüttungen Generali Investments SICAV - Central & Eastern European Bond Fund AY Fonds
| Datum | Wert | Währung |
|---|---|---|
| 18.09.26 | 1,900 | EUR |
| 08.05.26 | 2,850 | EUR |
| 19.09.25 | 1,460 | EUR |
| 16.05.25 | 1,520 | EUR |