The following investment funds managed by Citadele Asset Management, IPAS were removed from the list on September 23, 2014 due to merger:
ISIN | SHORTNAME | FULLNAME |
LV0000400273 | PXSCSEFR | Citadele Caspian Sea Equity Fund |
LV0000400422 | PAMUKEFR | Citadele Ukrainian Equity Fund |
The Fund Center is an environment for publishing fund performance information that is jointly administered by NASDAQ OMX Tallinn, Riga and Vilnius stock exchanges.
The Fund Center includes funds which are publicly offered in at least one of the Baltic countries http://www.balticfundcenter.com
NASDAQ OMX Baltic Market
Issuer Services
+370 5 272 1705
www.nasdaqomxbaltic.com