Green Ash Onyx Fund (EUR) B (LU1317145487)
137.51
+0.40
(+0.29%)
EUR |
Aug 25 2026
LU1317145487 Net Asset Value
Net Asset Value Chart
Sep '18
Jan '19
May '19
285.00
270.00
255.00
240.00
Historical Net Asset Value Data
| Date | Value |
|---|---|
| August 25, 2026 | 137.51 |
| August 24, 2026 | 137.11 |
| August 21, 2026 | 137.55 |
| August 20, 2026 | 137.16 |
| August 19, 2026 | 137.32 |
| August 18, 2026 | 137.67 |
| August 17, 2026 | 138.36 |
| August 14, 2026 | 138.27 |
| August 13, 2026 | 138.49 |
| August 12, 2026 | 138.28 |
| August 11, 2026 | 137.59 |
| August 10, 2026 | 137.50 |
| August 07, 2026 | 137.20 |
| August 06, 2026 | 136.92 |
| August 05, 2026 | 137.17 |
| August 04, 2026 | 137.06 |
| August 03, 2026 | 135.97 |
| July 31, 2026 | 135.34 |
| July 30, 2026 | 134.32 |
| July 29, 2026 | 132.73 |
| July 28, 2026 | 133.74 |
| July 27, 2026 | 134.35 |
| July 24, 2026 | 134.48 |
| July 23, 2026 | 134.89 |
| July 22, 2026 | 135.48 |
| Date | Value |
|---|---|
| July 21, 2026 | 135.15 |
| July 20, 2026 | 133.99 |
| July 17, 2026 | 134.13 |
| July 16, 2026 | 134.62 |
| July 15, 2026 | 135.45 |
| July 14, 2026 | 135.33 |
| July 13, 2026 | 134.85 |
| July 10, 2026 | 135.76 |
| July 09, 2026 | 135.95 |
| July 08, 2026 | 135.39 |
| July 07, 2026 | 135.69 |
| July 06, 2026 | 136.36 |
| July 03, 2026 | 136.26 |
| July 02, 2026 | 135.87 |
| July 01, 2026 | 135.96 |
| June 30, 2026 | 136.53 |
| June 29, 2026 | 135.72 |
| June 26, 2026 | 135.39 |
| June 25, 2026 | 135.93 |
| June 24, 2026 | 135.52 |
| June 22, 2026 | 137.36 |
| June 19, 2026 | 137.36 |
| June 18, 2026 | 137.51 |
| June 17, 2026 | 136.98 |
| June 16, 2026 | 136.80 |
Net Asset Value (NAV) Definition
Net Asset Value measures the total value of a security based on assets divided by shares outstanding. This metric is calculated by (Total Assets - Total Liabilities) / Shares Outstanding.
Net Asset Value Range, Past 5 Years
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Minimum
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Maximum
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Average
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Median
Net Asset Value Benchmarks
| DWS Concept ARTS Dynamic | 237.34 |
| Quality Global, FI | 662.58 |
| WAM Global Allocation A, FI | 224.16 |
| Trea Global Flexible, FI | 16.28 |
| Abanca Renta Variable Mixta SP, FI | 923.97 |
Net Asset Value Excel Add-In Codes
| Metric Code: net_asset_value |
| Latest Data Point: =YCP("M:LU1317145487", "net_asset_value") |
| Last 5 Data Points: =YCS("M:LU1317145487", "net_asset_value", -4) |
| To find the codes for any of our securities and financial metrics, see our Complete Excel Reference. |