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On January 5, 2026, Amundi reported NAVs for several UCITS ETFs covering global, UK, and emerging market assets with varying hedging and distribution features.
On January 5, 2026, the net asset values (NAVs) were reported for a range of Amundi UCITS ETFs, including funds focused on global and UK inflation-linked government bonds, euro inflation expectations, emerging markets, Australian equities, and global government bonds, with variations in currency hedging and distribution options.
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El 5 de enero de 2026, Amundi informó sobre los valores netos de varios fondos de inversión en bolsa de OICVM que cubren activos de mercados emergentes, globales y del Reino Unido con diferentes características de cobertura y distribución.