Average NAV of Real Estate Closed-End Investment Funds
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The index value "Average value of the Real Estate Investment Fund" reflects the average value of the net assets included in the real estate investment Fund at the end of the accounting period.
Se puede recibir los datos de este índice via complemento Cbonds para Excel usando la fórmula CbondsIndexValue(184007, date)
complemento Cbonds| Índice | Último valor | Fecha |
|---|---|---|
| Average NAV of Real Estate Closed-End Investment Funds | 7.896.105.700,61 RUB | 31/08/2026 |
| Average Performance of Distribution Amount on Average NAV per Share of Real Estate Closed-End Investment Funds for 12 months | 2,62 % | 31/08/2026 |
| Median Performance of Real Estate Closed-End Investment Funds for 12 months (excluding NAV-weighted) | 13,21 % | 31/08/2026 |
| NAV-weighted Performance of Real Estate Closed-End Investment Funds for 12 months | 14,46 % | 31/08/2026 |