State Street EMU Government Bond Index Fund P Acc Fonds
|
10529985
|
State Street Global Advisors Europe Limited
|
EUR
|
0.28
|
4.55
|
-14.41
|
305.61
|
State Street EMU Government Bond Index Fund P Inc Fonds
|
22480554
|
State Street Global Advisors Europe Limited
|
EUR
|
0.29
|
4.55
|
-14.44
|
305.61
|
State Street EUR Government Liquidity Fund Distributor Shares Fonds
|
132208002
|
State Street Global Advisors Europe Limited
|
EUR
|
0.00
|
-
|
-
|
196.0
|
State Street EUR Government Liquidity Fund Institutional Fonds
|
133034599
|
State Street Global Advisors Europe Limited
|
EUR
|
1.93
|
-
|
-
|
196.0
|
State Street EUR Government Liquidity Fund Investment Fonds
|
132208011
|
State Street Global Advisors Europe Limited
|
EUR
|
0.00
|
-
|
-
|
196.0
|
State Street EUR Government Liquidity Fund Premier Shares Fonds
|
|
State Street Global Advisors Europe Limited
|
EUR
|
-
|
-
|
-
|
196.0
|
State Street EUR Government Liquidity Fund Z Shares Fonds
|
|
State Street Global Advisors Europe Limited
|
EUR
|
2.01
|
-
|
-
|
196.0
|
State Street EUR Liquidity LVNAV Fund Distributor Stable NAV Shares Fonds
|
25043538
|
State Street Global Advisors Europe Limited
|
EUR
|
2.61
|
11.19
|
9.71
|
7830.59
|
State Street EUR Liquidity LVNAV Fund Global Securities Lending Shares Fonds
|
11736710
|
State Street Global Advisors Europe Limited
|
EUR
|
2.79
|
11.27
|
10.02
|
7830.59
|
State Street EUR Liquidity LVNAV Fund I Accumulating Shares Fonds
|
3298558
|
State Street Global Advisors Europe Limited
|
EUR
|
2.56
|
9.11
|
7.77
|
7830.59
|
State Street EUR Liquidity LVNAV Fund I Stable NAV Shares Fonds
|
1138918
|
State Street Global Advisors Europe Limited
|
EUR
|
2.67
|
11.19
|
9.82
|
7830.59
|
State Street EUR Liquidity LVNAV Fund Premier Accumulating Fonds
|
46637800
|
State Street Global Advisors Europe Limited
|
EUR
|
2.61
|
-
|
-
|
7830.59
|
State Street EUR Liquidity LVNAV Fund Z Accumulating Shares Fonds
|
19935138
|
State Street Global Advisors Europe Limited
|
EUR
|
2.68
|
9.52
|
8.34
|
7830.59
|
State Street EUR Liquidity LVNAV S Fonds
|
3111038
|
State Street Global Advisors Europe Limited
|
EUR
|
-0.31
|
-0.31
|
-0.31
|
7830.59
|
State Street EUR Liquidity LVNAV S2 Fonds
|
18647594
|
State Street Global Advisors Europe Limited
|
EUR
|
2.66
|
11.18
|
9.80
|
7830.59
|
State Street EUR Liquidity LVNAV Z Stable NAV Fonds
|
18652283
|
State Street Global Advisors Europe Limited
|
EUR
|
2.79
|
11.28
|
10.08
|
7830.59
|
State Street EUR Liquidity Standard VNAV Fund Distributor EUR Acc Fonds
|
|
State Street Global Advisors Europe Limited
|
EUR
|
-0.10
|
-
|
-
|
2256.02
|
State Street EUR Liquidity Standard VNAV Fund Institutional EUR Acc Fonds
|
23783706
|
State Street Global Advisors Europe Limited
|
EUR
|
2.67
|
9.37
|
7.89
|
2256.02
|
State Street EUR Liquidity Standard VNAV Fund Z EUR Acc Fonds
|
23783695
|
State Street Global Advisors Europe Limited
|
EUR
|
2.77
|
9.69
|
8.43
|
2256.02
|
State Street Emerging Markets ESG Screened Hard Currency Government Bond Index Fund I EUR Fonds
|
126357415
|
State Street Global Advisors Europe Limited
|
EUR
|
-0.53
|
-
|
-
|
871.23
|