NBG Funds - SICAV Prices

As of 20/11/2025

NBG INTERNATIONAL SICAV

M/F Code
M/F
Net assets Shares
outstanding
Net
Price
Subscription
Price
Redemption
Price
Daily
Performance
Performance
year to date
NBG INTERNATIONAL FUNDS SICAV/INCOME PLUS/A 923 3.512.614,81 2.917,616 1.203,93 1.203,93 1.203,93 0,012% 1,247%
NBG INTERNATIONAL FUNDS SICAV/GLOBAL EQUITY/A 924 9.283.776,40 2.283,435 4.065,71 4.065,71 4.065,71 -0,192% 3,787%
NBG INTERNATIONAL FUNDS SICAV/INCOME PLUS/B 933 13.946.004,47 11.232,409 1.241,59 1.241,59 1.241,59 0,012% 1,283%
NBG INTERNATIONAL FUNDS SICAV/GLOBAL EQUITY/B 934 10.579.588,55 2.546,261 4.154,95 4.154,95 4.154,95 -0,192% 3,824%
NBG INTERNATIONAL FUNDS SICAV/EUROPEAN ALLSTARS/A 940 1.187.514,89 587,404 2.021,63 2.021,63 2.021,63 0,473% 11,885%
NBG INTERNATIONAL FUNDS SICAV/EUROPEAN ALLSTARS/B 941 2.301.582,30 1.131,214 2.034,61 2.034,61 2.034,61 0,474% 11,923%