LLUC VALORES,S.A. SICAV

11/12/2025

NAV Date

17.089570

Net Asset Value

12/12/2025

Close Price Date

17.0896

Close Price

Last Trade: Fixing

Date

12/12/2025

Hour

Close

Last

17.0896

Ref.

17.0776

Dif.(%)

0.07

Volume (Shares)

6,422

Turnover (€x1000)

109.75

Last Trade: NAV

Date

11/12/2025

Hour

-

Last

17.0896

Ref.

17.0776

Dif.(%)

0.07

Volume (Shares)

48,177

Turnover (€x1000)

823.32

X
12/12/2025 15:59:07
BidAsk
OrdersVolumePricePriceVolumeOrders
26,42217.089617.08966,4221

Security

Security name

LLUC VALORES

Ticker

S1961

ISIN

ES0158867038

NIF

A-81949935

Capital Admitted

170.911.398,37 Euros

Capital Maximum

240.404.840,00 Euros

Capital Minimum

24.040.484,00 Euros

Nominal

6,010121 Euros

Date Communication NAV

D+1

Manag. Company

MARCH ASSET MANAGEMENT

Counterparty Member

BANCO INVERSIS, S.A.

Address

CL CASTELLO 74, 28006 MADRID

Historical Summary

 20212022202320242025 until 12/12

Capital Admitted (thousands of euros)

93,747127,286160,062162,163170,911

Shares (x 1,000)

15,59821,17926,63226,98228,437

Period Close Price (euros)

13.600012.700914.260615.198217.0896

Period Last Price (Fixing) (euros)

13.500012.700914.260615.113017.0896

Period High Price (Fixing) (euros)

13.900013.900014.260615.428817.1476

Period Low Price (Fixing) (euros)

12.200011.708412.754414.092113.7666

Capitalisation (thousands of euros)

212,134268,986379,789410,074485,981

Volume (thousands of shares)

5,03911,26011,4308,37510,149

Turnover (thousands of euros)

67,146142,695155,933125,413163,425

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