NBG Funds - SICAV Prices

As of 31/12/2025

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 3.417.677,12 2.836,702 1.204,81 1.204,81 1.204,81 0,055% 1,321%
NBG INTERNATIONAL FUNDS SICAV/GLOBAL EQUITY/A 924 10.161.681,88 2.416,593 4.204,96 4.204,96 4.204,96 -0,246% 7,342%
NBG INTERNATIONAL FUNDS SICAV/INCOME PLUS/B 933 14.060.485,72 11.315,911 1.242,54 1.242,54 1.242,54 0,054% 1,361%
NBG INTERNATIONAL FUNDS SICAV/GLOBAL EQUITY/B 934 9.760.995,97 2.271,316 4.297,51 4.297,51 4.297,51 -0,246% 7,386%
NBG INTERNATIONAL FUNDS SICAV/EUROPEAN ALLSTARS/A 940 1.233.653,13 589,819 2.091,58 2.091,58 2.091,58 -0,073% 15,756%
NBG INTERNATIONAL FUNDS SICAV/EUROPEAN ALLSTARS/B 941 1.983.104,90 942,051 2.105,09 2.105,09 2.105,09 -0,073% 15,800%