BlackRock Institutional Cash Series Sterling Liquidity Admin I Acc

Regístrese para Ver el Rating
Gestión
Nombre de la gestoraBlackRock Asset Management Ireland Ltd
Teléfono-
Sitio Webwww.blackrock.com
Dirección1st Floor, 2 Ballsbridge Park, Ballsbridge, Dublin 4
 Dublin   -
 Ireland
Otras Clases
BlackRock Institutional Cash Series Sterling Liquidity Acc
BlackRock Institutional Cash Series Sterling Liquidity Admin III Acc
BlackRock Institutional Cash Series Sterling Liquidity Administration I Inc
BlackRock Institutional Cash Series Sterling Liquidity Administration II Acc
BlackRock Institutional Cash Series Sterling Liquidity Administration II Inc
BlackRock Institutional Cash Series Sterling Liquidity Administration III Inc
BlackRock Institutional Cash Series Sterling Liquidity Administration IV Acc
BlackRock Institutional Cash Series Sterling Liquidity Agency Acc Shares
BlackRock Institutional Cash Series Sterling Liquidity Agency Inc
BlackRock Institutional Cash Series Sterling Liquidity Aon Captives
BlackRock Institutional Cash Series Sterling Liquidity G Acc
BlackRock Institutional Cash Series Sterling Liquidity G Acc IV
BlackRock Institutional Cash Series Sterling Liquidity G I Inc
BlackRock Institutional Cash Series Sterling Liquidity GII Acc
BlackRock Institutional Cash Series Sterling Liquidity GII Inc
BlackRock Institutional Cash Series Sterling Liquidity Heritage Acc
BlackRock Institutional Cash Series Sterling Liquidity Heritage Inc
BlackRock Institutional Cash Series Sterling Liquidity Inc
BlackRock Institutional Cash Series Sterling Liquidity Premier Acc
BlackRock Institutional Cash Series Sterling Liquidity Premier Inc
BlackRock Institutional Cash Series Sterling Liquidity S (Acc) Shares
BlackRock Institutional Cash Series Sterling Liquidity Select Acc
BlackRock Institutional Cash Series Sterling Liquidity Select Dist
DomicilioIrlanda
Estructura legalOpen Ended Investment Company
UCITS
Creación del fondo27/08/2014
Nombre del gestorMatt Clay
Fecha de incorporación01/03/2009
Anuncio publicitario
Con un fin de coherencia entre los datos del informe proporcionados por los diferentes gestores de activos, los datos calculados se generan utilizando la metodología de cálculo propia de Morningstar, que se expone con más detalle en(https://www.morningstar.com/research/signature)
© Copyright 2024 Morningstar, Inc. Reservados todos los derechos.

Términos de uso        Política Privacidad        Cookie Settings        Aviso Legal