CSI Income Growth C dis
LU0904708095CSI
22/06/2022
1.20 GBP
- Founding date of the fund
- Currency
- Notional net assets in EUR 37,898,922
- Listing frequency
- Withholding tax rate
- Maximum management fee
- Ongoing charges
-
Minimum deposit
-
GBP - Entry fees
- Exit costs
- Custodian and administration fee
- Swing pricing
-
Dilution levy
Dilution levy TODO
- 1
- 2
- 3
- 4
- 5
- 6
- 7
- 2021 +11.6%
- 2020 +4.0%
- 2019 +12.7%
- 2018 -5.2%
- 2017 +7.4%
- 2016 +4.9%
- 2015 -1.9%
- 2014 -0.9%
- -16.7%
- 1Y -31.9%
- 3Y -1.3%
- 5Y +0.8%