Amundi CR - obligační fond třída A
Amundi CR - obligační fond třída A
ISIN: CZ0008475399
Morningstar rating
Specific symbol:
25
NAV as of 3/31/2026
1,9496 CZK
1 DAY NAV change as of 3/31/2026
+0,0077 (+0,4%)
# Bond
# Europe Emerging Mkts
Factsheet

Charts
NAVs
Growth of Investment
Year
12 Month Performance
Composition
Asset allocation
Bond credit quality
Stock sector distribution
Country exposure
Currency Exposure
Bond sector distribution
Fund
Bond
92
Cash
8
Total
100