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World Funds

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Luxembourg - Funds

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Condition

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%

Frequency

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Delivery Method

Status

 NameSymbolLastChg. %Total AssetsTime
 GBM Asset Management SICAV Mexico Fund D EUR Cap0P0000.14.402-0.52%563.42K27/03 

Mexico - Funds

 NameSymbolLastChg. %Total AssetsTime
 Citiacciones Flexible A0P0000.0.529-0.29%13.59B27/03 
 Citiacciones Flexible B0-B0P0000.0.515-0.29%13.59B27/03 
 GBM Inversión Total SA de CV S I R V B0P0000.2.383-0.46%8.94B27/03 
 GBM Inversión Total A0P0000.2.389-0.46%8.94B27/03 
 GBM Inversiones Internacionales SA de CV F.I.R.V. 0P0001.1.777-1.66%2.98B27/03 
 GBM Inversiones Internacionales SA de CV F.I.R.V. 0P0000.1.763-1.66%2.98B27/03 
 GBM Inversiones Internacionales SA de CV F.I.R.V. 0P0001.1.832-1.66%2.98B27/03 
 GBM Inversiones Internacionales SA de CV F.I.R.V. 0P0000.2.064-1.65%2.98B27/03 
 GBM Inversiones Internacionales SA de CV F.I.R.V. 0P0001.1.781-1.66%2.98B27/03 
 GBM Inversiones Bursátiles BGBMF0P0001.68.941-1.59%2.28B27/03 
 GBM Inversiones Bursátiles BGBMM0P0001.69.097-1.59%2.28B27/03 
 GBM Inversiones Bursátiles BO0P0000.52.248-1.60%2.28B27/03 
 GBM Inversiones Bursátiles A0P0000.66.882-1.59%2.28B27/03 
 GBM Capital Bursátil BGBMM0P0001.28.835-1.21%1.7B27/03 
 GBM Capital Bursátil BO0P0000.21.553-1.22%1.7B27/03 
 GBM Capital Bursátil A0P0000.29.463-1.21%1.7B27/03 
 GBM 103 A0P0001.1.540-0.91%1.33B27/03 
 GBM 103 B0P0001.1.521-0.91%1.33B27/03 
 GBM Inv. en Índices Internacionales de Renta Varia0P0001.3.122-0.80%1.24B27/03 
 GBM Inv. en Índices Internacionales de Renta Varia0P0001.3.127-0.80%1.24B27/03 
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