Asia Opportunity Fund A | | | LU1378878430 | USD* | 50.51 | 21-01-2025 |
| | | | EUR | 48.63 | |
Asia Opportunity Fund C | | | LU1808492620 | USD* | 26.99 | 21-01-2025 |
| | | | EUR | 25.99 | |
Developing Opportunity Fund A | | | LU2091680145 | USD* | 26.69 | 21-01-2025 |
| | | | EUR | 25.70 | |
Developing Opportunity Fund C | | | LU2091680491 | USD* | 25.83 | 21-01-2025 |
| | | | EUR | 24.87 | |
Emerging Leaders Equity Fund A | | | LU0815263628 | USD* | 39.21 | 21-01-2025 |
| | | | EUR | 37.75 | |
| | | | GBP | 31.92 | |
Emerging Leaders Equity Fund C | | | LU0819839092 | USD* | 35.79 | 21-01-2025 |
| | | | EUR | 34.46 | |
Emerging Markets Corporate Debt Fund A | | | LU0603408039 | USD* | 41.25 | 21-01-2025 |
| | | | EUR | 39.71 | |
Emerging Markets Corporate Debt Fund AX | | | LU0691070444 | USD* | 23.50 | 21-01-2025 |
| | | | EUR | 22.63 | |
Emerging Markets Corporate Debt Fund C | | | LU0603408203 | USD* | 37.37 | 21-01-2025 |
| | | | EUR | 35.98 | |
Emerging Markets Corporate Debt Fund CX | | | LU1808492976 | USD* | 21.01 | 21-01-2025 |
| | | | EUR | 20.23 | |
Emerging Markets Corporate Debt Fund I | | | LU0919597632 | USD* | 36.50 | 21-01-2025 |
| | | | EUR | 35.15 | |
Emerging Markets Corporate Debt Fund N | | | LU2012063918 | USD* | 29.90 | 21-01-2025 |
| | | | EUR | 28.79 | |
Emerging Markets Corporate Debt Fund Z | | | LU0603408385 | USD* | 45.60 | 21-01-2025 |
| | | | EUR | 43.90 | |
Emerging Markets Debt Fund A | | | LU0073230004 | USD* | 99.09 | 21-01-2025 |
| | | | EUR | 95.40 | |
| | | | GBP | 80.68 | |
Emerging Markets Debt Fund AX | | | LU0239678807 | USD* | 43.15 | 21-01-2025 |
| | | | EUR | 41.54 | |
| | | | GBP | 35.13 | |
Emerging Markets Debt Fund C | | | LU0176158151 | USD* | 39.96 | 21-01-2025 |
| | | | EUR | 38.47 | |
Emerging Markets Debt Fund CX | | | LU0379383515 | USD* | 21.44 | 21-01-2025 |
| | | | EUR | 20.64 | |
Emerging Markets Debt Fund I | | | LU0057132697 | USD* | 118.57 | 21-01-2025 |
| | | | EUR | 114.16 | |
Emerging Markets Debt Fund Z | | | LU0360479504 | USD* | 50.85 | 21-01-2025 |
| | | | EUR | 48.96 | |
Emerging Markets Local Income Fund A | | | LU2607188435 | USD* | 9.64 | 21-01-2025 |
| | | | EUR | 9.28 | |
Emerging Markets Local Income Fund AR | | | LU2607189755 | USD* | 6.95 | 21-01-2025 |
| | | | EUR | 6.69 | |
| | | | GBP | 5.66 | |
Emerging Markets Local Income Fund C | | | LU2802096516 | USD* | 25.20 | 21-01-2025 |
| | | | EUR | 24.26 | |
| | | | GBP | 20.52 | |
Emerging Markets Local Income Fund CR | | | LU2802096862 | USD* | 24.22 | 21-01-2025 |
| | | | EUR | 23.32 | |
| | | | GBP | 19.72 | |
Emerging Markets Local Income Fund I | | | LU2607189326 | USD* | 9.95 | 21-01-2025 |
| | | | EUR | 9.58 | |
Emerging Markets Local Income Fund N | | | LU2802096946 | USD* | 25.53 | 21-01-2025 |
| | | | EUR | 24.58 | |
| | | | GBP | 20.79 | |
Emerging Markets Local Income Fund Z | | | LU2607189599 | USD* | 10.78 | 21-01-2025 |
| | | | EUR | 10.37 | |
Euro Bond Fund A | | | LU0073254285 | EUR* | 15.28 | 21-01-2025 |
| | | | USD | 15.87 | |
Euro Bond Fund C | | | LU0176161882 | EUR* | 32.52 | 21-01-2025 |
| | | | USD | 33.77 | |
Euro Bond Fund I | | | LU0042383389 | EUR* | 17.14 | 21-01-2025 |
| | | | USD | 17.80 | |
Euro Bond Fund N | | | LU0365447324 | EUR* | 23.14 | 21-01-2025 |
| | | | USD | 24.04 | |
Euro Bond Fund Z | | | LU0360477631 | EUR* | 39.21 | 21-01-2025 |
| | | | USD | 40.72 | |
Euro Corporate Bond Fund A | | | LU0132601682 | EUR* | 53.03 | 21-01-2025 |
| | | | GBP | 44.85 | |
| | | | USD | 55.08 | |
Euro Corporate Bond Fund AX | | | LU0239680886 | EUR* | 29.77 | 21-01-2025 |
| | | | GBP | 25.17 | |
Euro Corporate Bond Fund C | | | LU0176164985 | EUR* | 38.90 | 21-01-2025 |
| | | | USD | 40.41 | |
Euro Corporate Bond Fund CX | | | LU1807328452 | EUR* | 23.80 | 21-01-2025 |
| | | | USD | 24.72 | |
Euro Corporate Bond Fund I | | | LU0132602656 | EUR* | 58.50 | 21-01-2025 |
| | | | USD | 60.76 | |
Euro Corporate Bond Fund IX | | | LU0239681009 | EUR* | 26.11 | 21-01-2025 |
| | | | USD | 27.12 | |
Euro Corporate Bond Fund N | | | LU0365458107 | EUR* | 26.19 | 21-01-2025 |
| | | | USD | 27.20 | |
Euro Corporate Bond Fund S | | | LU0390558301 | EUR* | 40.72 | 21-01-2025 |
| | | | USD | 42.30 | |
Euro Corporate Bond Fund Z | | | LU0360483100 | EUR* | 46.99 | 21-01-2025 |
| | | | USD | 48.81 | |
Euro Corporate Bond Fund ZX | | | LU0360612435 | EUR* | 23.53 | 21-01-2025 |
| | | | USD | 24.44 | |
Euro Strategic Bond Fund A | | | LU0073234253 | EUR* | 46.52 | 21-01-2025 |
| | | | USD | 48.32 | |
Euro Strategic Bond Fund AX | | | LU0218442688 | EUR* | 26.63 | 21-01-2025 |
| | | | GBP | 22.52 | |
Euro Strategic Bond Fund C | | | LU0176161619 | EUR* | 30.74 | 21-01-2025 |
| | | | USD | 31.93 | |
Euro Strategic Bond Fund CX | | | LU1807328536 | EUR* | 22.83 | 21-01-2025 |
| | | | USD | 23.71 | |
Euro Strategic Bond Fund I | | | LU0034265644 | EUR* | 52.24 | 21-01-2025 |
| | | | USD | 54.26 | |
Euro Strategic Bond Fund N | | | LU0365445898 | EUR* | 24.51 | 21-01-2025 |
| | | | USD | 25.46 | |
Euro Strategic Bond Fund Z | | | LU0360476740 | EUR* | 43.36 | 21-01-2025 |
| | | | USD | 45.04 | |
Europe Opportunity Fund A | | | LU1387591305 | EUR* | 51.28 | 21-01-2025 |
| | | | USD | 53.26 | |
Europe Opportunity Fund C | | | LU1394890807 | EUR* | 47.59 | 21-01-2025 |
| | | | USD | 49.43 | |
European High Yield Bond Fund A | | | LU0073255761 | EUR* | 29.03 | 21-01-2025 |
| | | | GBP | 24.55 | |
| | | | USD | 30.16 | |
European High Yield Bond Fund AX | | | LU0239679102 | EUR* | 27.74 | 21-01-2025 |
| | | | USD | 28.81 | |
European High Yield Bond Fund C | | | LU0176162427 | EUR* | 57.08 | 21-01-2025 |
| | | | USD | 59.29 | |
European High Yield Bond Fund CX | | | LU1807328619 | EUR* | 23.10 | 21-01-2025 |
| | | | USD | 23.99 | |
European High Yield Bond Fund I | | | LU0073255688 | EUR* | 32.57 | 21-01-2025 |
| | | | USD | 33.83 | |
European High Yield Bond Fund Z | | | LU0360481153 | EUR* | 68.62 | 21-01-2025 |
| | | | USD | 71.27 | |
European High Yield Bond Fund ZX | | | LU0360611460 | EUR* | 23.77 | 21-01-2025 |
| | | | GBP | 20.10 | |
| | | | USD | 24.69 | |
Global Asset Backed Securities Fund A | | | LU0858068074 | USD* | 35.88 | 21-01-2025 |
| | | | EUR | 34.55 | |
Global Asset Backed Securities Fund C | | | LU0858081846 | USD* | 33.35 | 21-01-2025 |
| | | | EUR | 32.11 | |
Global Asset Backed Securities Fund CX | | | LU0885077387 | USD* | 27.15 | 21-01-2025 |
| | | | EUR | 26.14 | |
| | | | GBP | 22.11 | |
Global Asset Backed Securities Fund I | | | LU0858068231 | USD* | 38.40 | 21-01-2025 |
| | | | EUR | 36.97 | |
Global Asset Backed Securities Fund Z | | | LU0858068314 | USD* | 38.61 | 21-01-2025 |
| | | | EUR | 37.18 | |
Global Balanced Risk Control Fund of Funds A | | | LU0694238501 | EUR* | 43.78 | 21-01-2025 |
| | | | USD | 45.47 | |
Global Balanced Risk Control Fund of Funds C | | | LU0712122208 | EUR* | 36.71 | 21-01-2025 |
| | | | USD | 38.13 | |
Global Balanced Risk Control Fund of Funds I | | | LU0712122380 | EUR* | 32.20 | 21-01-2025 |
| | | | USD | 33.44 | |
Global Balanced Risk Control Fund of Funds Z | | | LU0706093803 | EUR* | 49.58 | 21-01-2025 |
| | | | USD | 51.50 | |
Global Bond Fund A | | | LU0073230426 | USD* | 40.10 | 21-01-2025 |
| | | | EUR | 38.61 | |
Global Bond Fund AX | | | LU0218435716 | USD* | 26.08 | 21-01-2025 |
| | | | EUR | 25.11 | |
| | | | GBP | 21.24 | |
Global Bond Fund C | | | LU0176154598 | USD* | 28.63 | 21-01-2025 |
| | | | EUR | 27.57 | |
Global Bond Fund I | | | LU0011983433 | USD* | 45.09 | 21-01-2025 |
| | | | EUR | 43.41 | |
Global Bond Fund Z | | | LU0360476583 | USD* | 34.29 | 21-01-2025 |
| | | | EUR | 33.02 | |
| | | | GBP | 27.92 | |
Global Brands Fund A | | | LU0119620416 | USD* | 226.78 | 21-01-2025 |
| | | | EUR | 218.34 | |
| | | | JPY | 35273.10 | |
Global Brands Fund AX | | | LU0239683559 | USD* | 87.71 | 21-01-2025 |
| | | | EUR | 84.44 | |
| | | | GBP | 71.41 | |
| | | | JPY | 13641.98 | |
Global Brands Fund C | | | LU0176160306 | USD* | 92.71 | 21-01-2025 |
| | | | EUR | 89.26 | |
Global Brands Fund I | | | LU0119620176 | USD* | 269.79 | 21-01-2025 |
| | | | EUR | 259.75 | |
| | | | GBP | 219.66 | |
Global Brands Fund IX | | | LU2198837655 | USD* | 35.10 | 21-01-2025 |
| | | | EUR | 33.79 | |
Global Brands Fund N | | | LU0365482156 | USD* | 38.97 | 21-01-2025 |
| | | | EUR | 37.52 | |
Global Brands Fund S | | | LU0982290198 | USD* | 74.34 | 21-01-2025 |
| | | | EUR | 71.57 | |
Global Brands Fund Z | | | LU0360482987 | USD* | 116.45 | 21-01-2025 |
| | | | EUR | 112.11 | |
| | | | GBP | 94.81 | |
Global Brands Fund ZX | | | LU0360612351 | USD* | 153.09 | 21-01-2025 |
| | | | EUR | 147.39 | |
| | | | GBP | 124.64 | |
Global Convertible Bond Fund A | | | LU0149084633 | USD* | 64.54 | 21-01-2025 |
| | | | EUR | 62.14 | |
Global Convertible Bond Fund I | | | LU0149084476 | USD* | 71.59 | 21-01-2025 |
| | | | EUR | 68.92 | |
Global Convertible Bond Fund N | | | LU0365482586 | USD* | 36.52 | 21-01-2025 |
| | | | EUR | 35.16 | |
Global Convertible Bond Fund Z | | | LU0360484413 | USD* | 52.54 | 21-01-2025 |
| | | | EUR | 50.59 | |
Global Fixed Income Opportunities Fund A | | | LU0694238766 | USD* | 39.68 | 21-01-2025 |
| | | | EUR | 38.20 | |
| | | | GBP | 32.31 | |
Global Fixed Income Opportunities Fund AX | | | LU0694238840 | USD* | 26.67 | 21-01-2025 |
| | | | EUR | 25.68 | |
| | | | GBP | 21.71 | |
Global Fixed Income Opportunities Fund C | | | LU0712122976 | USD* | 33.27 | 21-01-2025 |
| | | | EUR | 32.04 | |
Global Fixed Income Opportunities Fund CX | | | LU1807328700 | USD* | 23.95 | 21-01-2025 |
| | | | EUR | 23.06 | |
Global Fixed Income Opportunities Fund I | | | LU0694238923 | USD* | 33.58 | 21-01-2025 |
| | | | EUR | 32.33 | |
Global Fixed Income Opportunities Fund N | | | LU0712123354 | USD* | 29.36 | 21-01-2025 |
| | | | EUR | 28.27 | |
Global Fixed Income Opportunities Fund Z | | | LU0694239061 | USD* | 43.31 | 21-01-2025 |
| | | | EUR | 41.70 | |
Global Fixed Income Opportunities Fund ZX | | | LU0712123271 | USD* | 23.90 | 21-01-2025 |
| | | | EUR | 23.01 | |
Global High Yield Bond Fund A | | | LU2537067758 | USD* | 29.16 | 21-01-2025 |
| | | | EUR | 28.07 | |
Global High Yield Bond Fund AX | | | LU2638072947 | USD* | 27.53 | 21-01-2025 |
| | | | EUR | 26.50 | |
| | | | GBP | 22.41 | |
Global High Yield Bond Fund C | | | LU2638072277 | USD* | 28.94 | 21-01-2025 |
| | | | EUR | 27.86 | |
Global High Yield Bond Fund CX | | | LU2638073085 | USD* | 27.51 | 21-01-2025 |
| | | | EUR | 26.49 | |
Global High Yield Bond Fund I | | | LU2537067832 | USD* | 29.32 | 21-01-2025 |
| | | | EUR | 28.23 | |
Global High Yield Bond Fund IX | | | LU2638071972 | USD* | 27.53 | 21-01-2025 |
| | | | EUR | 26.51 | |
| | | | GBP | 22.42 | |
Global High Yield Bond Fund N | | | LU2638073754 | USD* | 29.58 | 21-01-2025 |
| | | | EUR | 28.48 | |
Global High Yield Bond Fund Z | | | LU2534984393 | USD* | 14.43 | 21-01-2025 |
| | | | EUR | 13.89 | |
Global Insight Fund A | | | LU0868753731 | USD* | 83.23 | 21-01-2025 |
| | | | EUR | 80.13 | |
Global Insight Fund C | | | LU0868754036 | USD* | 75.63 | 21-01-2025 |
| | | | EUR | 72.81 | |
Global Opportunity Fund A | | | LU0552385295 | USD* | 148.89 | 21-01-2025 |
| | | | EUR | 143.35 | |
| | | | GBP | 121.22 | |
Global Opportunity Fund C | | | LU0552385451 | USD* | 132.96 | 21-01-2025 |
| | | | EUR | 128.02 | |
Global Opportunity Fund I | | | LU0834154790 | USD* | 157.88 | 21-01-2025 |
| | | | AUD | 252.73 | |
| | | | EUR | 152.00 | |
| | | | GBP | 128.54 | |
Global Opportunity Fund N | | | LU1149983899 | USD* | 113.41 | 21-01-2025 |
| | | | EUR | 109.19 | |
Global Opportunity Fund Z | | | LU0552385535 | USD* | 169.63 | 21-01-2025 |
| | | | EUR | 163.32 | |
| | | | GBP | 138.11 | |
Global Sustain Fund A | | | LU1842711845 | USD* | 44.41 | 21-01-2025 |
| | | | EUR | 42.76 | |
Global Sustain Fund C | | | LU1966773050 | USD* | 40.30 | 21-01-2025 |
| | | | EUR | 38.80 | |
Indian Equity Fund A | | | LU0266115632 | USD* | 67.96 | 21-01-2025 |
| | | | EUR | 65.43 | |
Indian Equity Fund I | | | LU0266116010 | USD* | 79.02 | 21-01-2025 |
| | | | EUR | 76.08 | |
Indian Equity Fund Z | | | LU0360485733 | USD* | 81.87 | 21-01-2025 |
| | | | EUR | 78.82 | |
Japanese Equity Fund A | | | LU0512093542 | JPY* | 9063.17 | 21-01-2025 |
| | | | EUR | 56.10 | |
| | | | USD | 58.27 | |
Japanese Equity Fund C | | | LU0512094607 | JPY* | 8748.60 | 21-01-2025 |
| | | | EUR | 54.15 | |
| | | | USD | 56.25 | |
Japanese Equity Fund I | | | LU0512094193 | JPY* | 10688.73 | 21-01-2025 |
| | | | EUR | 66.16 | |
| | | | USD | 68.72 | |
Japanese Equity Fund Z | | | LU0512094433 | JPY* | 10128.80 | 21-01-2025 |
| | | | EUR | 62.70 | |
| | | | USD | 65.12 | |
NextGen Emerging Markets Fund A | | | LU0118140002 | EUR* | 87.90 | 21-01-2025 |
| | | | USD | 91.30 | |
NextGen Emerging Markets Fund AX | | | LU0218443736 | EUR* | 74.84 | 21-01-2025 |
| | | | GBP | 63.29 | |
NextGen Emerging Markets Fund B | | | LU0118140697 | EUR* | 71.53 | 21-01-2025 |
| | | | USD | 74.29 | |
NextGen Emerging Markets Fund I | | | LU0118140184 | EUR* | 100.87 | 21-01-2025 |
| | | | USD | 104.77 | |
NextGen Emerging Markets Fund Z | | | LU0360482631 | EUR* | 33.08 | 21-01-2025 |
| | | | USD | 34.36 | |
QuantActive Global Infrastructure Fund A | | | LU0384381660 | USD* | 76.49 | 21-01-2025 |
| | | | EUR | 73.64 | |
| | | | GBP | 62.27 | |
QuantActive Global Infrastructure Fund C | | | LU0384385737 | USD* | 68.07 | 21-01-2025 |
| | | | EUR | 65.54 | |
QuantActive Global Infrastructure Fund I | | | LU0384383286 | USD* | 53.55 | 21-01-2025 |
| | | | EUR | 51.56 | |
QuantActive Global Infrastructure Fund Z | | | LU0384383872 | USD* | 85.59 | 21-01-2025 |
| | | | EUR | 82.41 | |
QuantActive Global Infrastructure Fund ZX | | | LU0947203542 | USD* | 33.34 | 21-01-2025 |
| | | | EUR | 32.10 | |
QuantActive Global Property Fund A | | | LU0266114312 | USD* | 28.49 | 21-01-2025 |
| | | | EUR | 27.43 | |
| | | | GBP | 23.20 | |
QuantActive Global Property Fund AX | | | LU0266115392 | USD* | 23.18 | 21-01-2025 |
| | | | EUR | 22.31 | |
| | | | GBP | 18.87 | |
QuantActive Global Property Fund C | | | LU0362497223 | USD* | 29.65 | 21-01-2025 |
| | | | EUR | 28.55 | |
QuantActive Global Property Fund I | | | LU0266114668 | USD* | 32.42 | 21-01-2025 |
| | | | EUR | 31.22 | |
QuantActive Global Property Fund Z | | | LU0360485493 | USD* | 38.66 | 21-01-2025 |
| | | | EUR | 37.22 | |
| | | | GBP | 31.48 | |
Short Maturity Euro Bond Fund A | | | LU0073235904 | EUR* | 20.38 | 21-01-2025 |
| | | | USD | 21.17 | |
Short Maturity Euro Bond Fund C | | | LU0176162005 | EUR* | 24.75 | 21-01-2025 |
| | | | USD | 25.70 | |
Short Maturity Euro Bond Fund I | | | LU0052620894 | EUR* | 23.21 | 21-01-2025 |
| | | | USD | 24.11 | |
Short Maturity Euro Bond Fund N | | | LU0365449965 | EUR* | 26.46 | 21-01-2025 |
| | | | USD | 27.49 | |
Short Maturity Euro Bond Fund Z | | | LU0360478795 | EUR* | 32.36 | 21-01-2025 |
| | | | USD | 33.61 | |
Sustainable Asia Equity Fund A | | | LU0073229253 | USD* | 68.17 | 21-01-2025 |
| | | | EUR | 65.63 | |
| | | | GBP | 55.50 | |
Sustainable Asia Equity Fund I | | | LU0034260769 | USD* | 82.46 | 21-01-2025 |
| | | | EUR | 79.39 | |
Sustainable Asia Equity Fund Z | | | LU0360480692 | USD* | 49.67 | 21-01-2025 |
| | | | EUR | 47.82 | |
Sustainable Emerging Markets Equity Fund A | | | LU0073229840 | USD* | 46.35 | 21-01-2025 |
| | | | EUR | 44.63 | |
Sustainable Emerging Markets Equity Fund C | | | LU0176158821 | USD* | 27.04 | 21-01-2025 |
| | | | EUR | 26.04 | |
Sustainable Emerging Markets Equity Fund I | | | LU0054793475 | USD* | 54.44 | 21-01-2025 |
| | | | EUR | 52.42 | |
Sustainable Emerging Markets Equity Fund N | | | LU0365481349 | USD* | 28.39 | 21-01-2025 |
| | | | EUR | 27.34 | |
| | | | GBP | 23.12 | |
Sustainable Emerging Markets Equity Fund Z | | | LU0360480858 | USD* | 32.32 | 21-01-2025 |
| | | | EUR | 31.12 | |
| | | | GBP | 26.32 | |
US Advantage Fund A | | | LU0225737302 | USD* | 150.36 | 21-01-2025 |
| | | | EUR | 144.77 | |
| | | | GBP | 122.42 | |
US Advantage Fund C | | | LU0362496845 | USD* | 132.17 | 21-01-2025 |
| | | | EUR | 127.25 | |
US Advantage Fund I | | | LU0225741247 | USD* | 173.64 | 21-01-2025 |
| | | | EUR | 167.18 | |
| | | | GBP | 141.37 | |
US Advantage Fund Z | | | LU0360484686 | USD* | 165.64 | 21-01-2025 |
| | | | EUR | 159.47 | |
| | | | GBP | 134.86 | |
US Advantage Fund ZX | | | LU0360613169 | USD* | 141.34 | 21-01-2025 |
| | | | EUR | 136.08 | |
| | | | GBP | 115.07 | |
US Growth Fund A | | | LU0073232471 | USD* | 228.71 | 21-01-2025 |
| | | | EUR | 220.20 | |
| | | | GBP | 186.21 | |
US Growth Fund AX | | | LU0239688517 | USD* | 228.71 | 21-01-2025 |
| | | | EUR | 220.20 | |
| | | | GBP | 186.21 | |
US Growth Fund C | | | LU0176155215 | USD* | 148.34 | 21-01-2025 |
| | | | EUR | 142.82 | |
US Growth Fund I | | | LU0042381250 | USD* | 279.30 | 21-01-2025 |
| | | | EUR | 268.90 | |
US Growth Fund IX | | | LU0239688608 | USD* | 278.83 | 21-01-2025 |
| | | | EUR | 268.45 | |
| | | | GBP | 227.01 | |
US Growth Fund N | | | LU0365479442 | USD* | 47.71 | 21-01-2025 |
| | | | EUR | 45.93 | |
US Growth Fund Z | | | LU0360477805 | USD* | 181.02 | 21-01-2025 |
| | | | EUR | 174.28 | |
| | | | GBP | 147.38 | |
US Growth Fund ZX | | | LU0360610066 | USD* | 85.45 | 21-01-2025 |
| | | | EUR | 82.27 | |
| | | | GBP | 69.57 | |