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Robot Asset Management SICAV a.s.

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 items 1
Name Asset class Currency Date of NAV Price per share 1M (%) 3M (%) 6M (%) 1 year(%) 3 years (%) 5 years (%)
QUANT podfond - Robot Asset Management SICAV a.s. Fondy kvalif. investorů CZK 30.6.2019 1,1507 0,80% 0,07% 3,60% 2,77% - -
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