Show/Hide section Parameters and Transformations 
Date :   to     (DD-MM-YYYY)  
(Date settings applied on this page do not apply to other pages of the portal)
Transformation:

Series Level Information
Series Key IVF.M.LU.N.6A.L30.A.3.Z5.0000.Z01.E
Title Investment fund shares/units issued by open-end other funds in Luxembourg Redemptions (flows)
Title Complement Luxembourg, Redemptions (flows), Investment funds o/w open-end other funds (other than equity, bond, mixed, real estate, hedge funds) reporting sector - Investment fund shares/units, Total maturity, All currencies combined - World not allocated (geographically) counterpart, Unspecified counterpart sector sector, denominated in Euro, data Neither seasonally nor working day adjusted
Unit Millions of Euro
Dataset IVF : Investment Funds Balance Sheet Statistics

Metadata page (Series and Dataset Level Information)
Show/Hide section More attributes
Data Chart
Chart is loading...
quick view chart

Legend  
CL_OBS_CONF Observation Confidentiality
A Primary confidentiality due to small counts
C Confidential statistical information
D Secondary confidentiality set by the sender, not for publication
F Free
G Primary confidentiality due to dominance by one or two units
M Primary confidentiality due to data declared confidential based on other measures of concentration
N Not for publication, restricted for internal use only
O Primary confidentiality due to dominance by one unit
R Discontinued from October 2006
S Secondary confidentiality set and managed by the receiver, not for publication
T Primary confidentiality due to dominance by two units

All non-Free observations are underlined.
Data Table
 Luxembourg, Redemptions (flows), Investment funds o/w open-end other funds (other than equity, bond, mixed, real estate, hedge funds) reporting sector - Investment fund shares/units, Total maturity, All currencies combined - World not allocated (geographically) counterpart, Unspecified counterpart sector sector, denominated in Euro, data Neither seasonally nor working day adjusted
(Investment Funds Balance Sheet Statistics)
Period valueobs. status
2020-05395Normal value (A)
2020-04670Normal value (A)
2020-031268Normal value (A)
2020-02596Normal value (A)
2020-01728Normal value (A)
2019-12642Normal value (A)
2019-11601Normal value (A)
2019-101191Normal value (A)
2019-09509Normal value (A)
2019-082495Normal value (A)
2019-07500Normal value (A)
2019-06517Normal value (A)
2019-05677Normal value (A)
2019-04643Normal value (A)
2019-03797Normal value (A)
2019-02418Normal value (A)
2019-01682Normal value (A)
2018-12618Normal value (A)
2018-11329Normal value (A)
2018-10383Normal value (A)
2018-091964Normal value (A)
2018-08507Normal value (A)
2018-071579Normal value (A)
2018-061098Normal value (A)
2018-05429Normal value (A)
2018-04591Normal value (A)
2018-03757Normal value (A)
2018-02975Normal value (A)
2018-011177Normal value (A)
2017-121015Normal value (A)
2017-11489Normal value (A)
2017-10754Normal value (A)
2017-09704Normal value (A)
2017-08341Normal value (A)
2017-07411Normal value (A)
2017-06560Normal value (A)
2017-05265Normal value (A)
2017-04429Normal value (A)
2017-03625Normal value (A)
2017-02322Normal value (A)
2017-01420Normal value (A)
2016-12856Normal value (A)
2016-11594Normal value (A)
2016-10312Normal value (A)
2016-09408Normal value (A)
2016-08370Normal value (A)
2016-07336Normal value (A)
2016-06308Normal value (A)
2016-05292Normal value (A)
2016-04793Normal value (A)
2016-03742Normal value (A)
2016-02266Normal value (A)
2016-01357Normal value (A)
2015-12487Normal value (A)
2015-11704Normal value (A)
2015-101677Normal value (A)
2015-09849Normal value (A)
2015-081206Normal value (A)
2015-07966Normal value (A)
2015-06862Normal value (A)
2015-05581Normal value (A)
2015-04623Normal value (A)
2015-03978Normal value (A)
2015-02412Normal value (A)
2015-01729Normal value (A)
2014-12898Normal value (A)