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  WknName   Kurs Datum ytd 1jahr 3jahre 5jahre 

A3ERWX

BSF BLACKROCK HEALTH SCIENCES ABSOLUTE RETURN FUND CLASS A2 EUR

EUR

 106,14

22.9.

up

 -6,98

 1,04

 -  

 -  

chart detail

A40W1P

BSF BLACKROCK SYSTEMATIC GLOBAL EQUITY ABSOLUTE RETURN FUND CLASS SR2 PF EUR

EUR

 103,78

22.9.

up

 -

 -

 -  

 -  

chart detail

A2AKQ1

BSF BLACKROCK SYSTEMATIC STYLE FACTOR FUND CLASS X2 HEDGED GBP

GBP

 143,46

22.9.

up

 8,39

 14,22

 46,00  

 -  

chart detail

A1J5XL

BSF BLACKROCK SYSTEMATIC US EQUITY ABSOLUTE RETURN FUND CLASS A2 AUD

AUD

 266,81

22.9.

up

 -2,90

 3,37

 27,11  

 -  

chart detail

A1J7JQ

BSF BLACKROCK SYSTEMATIC US EQUITY ABSOLUTE RETURN FUND CLASS X2 USD

USD

 236,37

22.9.

up

 4,79

 1,27

 36,57  

 -  

chart detail

A3C84V

BSF BLK SYSTEMATIC ASIA PACIFIC EQUITY ABSOLUTE RETURN FUND CLASS X2 H GBP

GBP

 187,24

22.9.

down

 6,73

 18,01

 72,03  

 -  

chart detail

A1JRY1

BSF DYNAMIC DIVERSIFIED GROWTH FUND CLASS A2 HEDGED SEK

SEK

 142,52

22.9.

up

 8,14

 7,37

 18,57  

 -  

chart detail

A3C57J

BSF EMERGING COMPANIES ABSOLUTE RETURN FUND D2 AUD HEDGED

AUD

 96,45

22.9.

up

 0,90

 1,26

 25,28  

 -  

chart detail

A3C8XK

BSF EMERGING COMPANIES ABSOLUTE RETURN FUND I2 JPY HEDGED

JPY

 8,778,38

22.9.

up

 -1,26

 -2,11

 12,94  

 -  

chart detail

A3CY6P

BSF EMERGING COMPANIES ABSOLUTE RETURN FUND X2 AUD HEDGED

AUD

 98,39

22.9.

up

 1,71

 2,46

 30,32  

 -  

chart detail

A2JEJT

BSF EMERGING MARKETS FLEXI DYNAMIC BOND FUND CLASS X2 CAD HEDGED

CAD

 116,03

22.9.

up

 7,52

 4,65

 30,94  

 -  

chart detail

A2H6T3

BSF EMERGING MARKETS SHORT DURATION BOND FUND D2 EUR HEDGED

EUR

 126,07

22.9.

down

 7,23

 9,72

 31,41  

 -  

chart detail

A3DY38

BSF EMERGING MARKETS SHORT DURATION BOND FUND I2 USD

USD

 139,43

22.9.

down

 9,07

 12,07

 -  

 -  

chart detail

A2AE6Q

BSF GLOBAL EVENT DRIVEN FUND CLASS D2 HEDGED GBP

GBP

 136,27

22.9.

down

 6,91

 5,84

 13,87  

 -  

chart detail

A2AC3X

BSF GLOBAL EVENT DRIVEN FUND CLASS Z2 HEDGED CHF

CHF

 124,05

22.9.

down

 3,98

 1,87

 3,52  

 -  

chart detail

A3C8XM

BSF GLOBAL REAL ASSET SECURITIES FUND A2 CHF HEDGED

CHF

 77,53

22.9.

down

 9,24

 -3,03

 3,83  

 -  

chart detail

A3C8XL

BSF GLOBAL REAL ASSET SECURITIES FUND A2 EUR HEDGED

EUR

 82,84

22.9.

down

 11,06

 -0,53

 10,84  

 -  

chart detail

A3DGNJ

BSF GLOBAL REAL ASSET SECURITIES FUND A3 AUD HEDGED

AUD

 62,92

22.9.

down

 12,24

 0,79

 13,13  

 -  

chart detail

A3DGNK

BSF GLOBAL REAL ASSET SECURITIES FUND A3 CAD HEDGED

CAD

 64,40

22.9.

down

 11,54

 -0,04

 15,29  

 -  

chart detail

A3DGNL

BSF GLOBAL REAL ASSET SECURITIES FUND A3 CNH HEDGED

CNH

 618,07

22.9.

down

 11,18

 -0,90

 10,40  

 -  

chart detail
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