NAV Vienna Stock Exchange

Overview of the Net Asset Values (NAVs) of selected issuers in the Third Market of the Vienna Stock Exchange.

Publication: every Tuesday. In the case of a non-trading day, publication will be on the next trading day.
NET Asset Values in English:
http://en.wienerborse.at/listing/anleihen/nav/
 
NET Asset Values in German:
http://www.wienerborse.at/listing/anleihen/nav/
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