Gewahlte Kriterien:
KAG: BlackRock (LU)
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A2JCS0 | BGF GLOBAL MULTI-ASSET IN.F.I5G EUR H | EUR | 7,62 | 19.9. | | 7,21 | 13,22 | 0,13 | 12,11 | | A2JLU3 | BGF DYNAMIC HIGH INCOME FD.I2 EUR H | EUR | 11,77 | 19.9. | | 8,98 | 15,17 | -1,01 | 12,10 | | A1C3EL | BGF US DOLLAR HIGH YIELD BOND F.D2 EUR | EUR | 251,57 | 19.9. | | 6,64 | 12,22 | 1,67 | 12,09 | | A1JJBZ | BGF US DOLLAR HIGH YIELD BOND F.A2 AUD H | AUD | 19,60 | 19.9. | | 6,41 | 11,87 | 1,92 | 12,06 | | A2DGXF | BGF GLOBAL MULTI-ASSET IN.F.I2 EUR H | EUR | 11,55 | 19.9. | | 7,24 | 13,24 | 0,09 | 12,03 | | A2AE6X | BSF STYLE FACTOR F.D2 EUR | EUR | 119,32 | 19.9. | | 10,47 | 5,16 | 42,83 | 12,00 | | A1XAZR | BGF FIXED INCOME GLOBAL OPPORTUNITIES FUND A3 EUR | EUR | 9,21 | 19.9. | | 4,78 | 6,01 | 9,85 | 11,89 | | A2H9XB | BSF MANAGED INDEX PORTFOLIOS - CONSERVATIVE CLASS D5 EUR | EUR | 113,72 | 19.9. | | 7,67 | 12,82 | 2,97 | 11,88 | | A1XAZQ | BGF FIXED INCOME GLOBAL OPPORTUNITIES FUND A2 EUR | EUR | 14,76 | 19.9. | | 4,68 | 5,88 | 9,82 | 11,82 | | A2DX24 | BSF GL.REAL ASSET SEC.FD.A2 USD | USD | 126,43 | 19.9. | | 5,82 | 12,39 | -9,88 | 11,82 | | A2N30R | BGF SUST. GLOBAL BOND INCOME F.I2 EUR | EUR | 10,86 | 19.9. | | 5,13 | 7,21 | 10,82 | 11,73 | | A2JDMQ | BGF DYNAMIC HIGH INCOME FD.D6 USD | USD | 8,55 | 19.9. | | 10,02 | 17,08 | 5,71 | 11,71 | | A2N300 | BGF SU.EM.MKTS.BLENDED BOND FD.I2 | USD | 11,94 | 19.9. | | 7,18 | 15,25 | 1,10 | 11,69 | | A2N5R2 | BGF FIXED IN.GLOBAL OPPORT.F.I5 GBP H | GBP | 9,82 | 19.9. | | 5,40 | 10,34 | 4,07 | 11,69 | | A2N306 | BGF SUST.EMERGING MARKETS BD.I2 EUR | EUR | 11,43 | 19.9. | | 9,38 | 13,06 | 4,86 | 11,62 | | A2JQE7 | BGF SUST. GLOBAL BOND INCOME F.D2 USD | USD | 11,95 | 19.9. | | 5,57 | 11,27 | 4,73 | 11,47 | | A2N4KZ | BGF FINTECH FUND D2 GBP H | GBP | 11,69 | 19.9. | | 9,25 | 20,64 | -36,02 | 11,44 | | A2JRZU | BGF ESG GLOBAL CON.INCOME FD.X2 | EUR | 11,61 | 19.9. | | 5,55 | 11,31 | 0,17 | 11,42 | | A2H6T4 | BSF EM.MKT.SHORT DURATION BOND FD.E2 H | EUR | 108,70 | 19.9. | | 6,81 | 11,16 | 1,32 | 11,37 | | A0NDDH | BR SUST.FIXED INC.STR.FD.I2 EUR | EUR | 139,59 | 19.9. | | 3,97 | 7,17 | 6,83 | 11,37 | |
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