CIFC Credit Funds ICAV - CIFC Global Floating Rate Credit Fund Class B-2 Fonds
Ausschüttungen CIFC Credit Funds ICAV - CIFC Global Floating Rate Credit Fund Class B-2 JPY Inc Fonds
| Datum | Wert | Währung |
|---|---|---|
| 07.08.26 | 1451,662 | JPY |
| 06.02.26 | 1382,998 | JPY |
| 07.11.25 | 1641,311 | JPY |
| 01.08.25 | 1512,221 | JPY |