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basic claims data
data + charge
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stock exchange FTGF Western Asset Global High Yield Fund Class F US$ Distributing (D) Fonds

stock market currency last price previous day +/- % range derivatives#totalvolume time date
FII USD 75,47 75,47
0,00 0,00 - 0,00 0 00:00:01 05.06.2025
NAV USD 75,47 75,47
0,00 0,00 - 0,00 0 - 05.06.2025
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