Melchior European Opportunities Fund

Launch Date04.05.2010
Base CurrencyEUR
DenominationsUSD/GBP/EUR
DomicileLuxembourg
IndexMSCI Europe Net Total Return Index
€317.53
EUR Class I1
NAV per share 19.05.2022
£988mAUM

AUM 31.03.2022

Holdings
As at 31.03.2022