Gewahlte Kriterien:
KAG: BlackRock (LU)
Fondstyp: alle
|
Sortiert nach: Performance 1 Jahr |
Suche ändern
Neue Suche |
|
|
Klicken Sie auf eine Spaltenüberschrift, um zu sortieren. |
|
A2PGYG | BGF ESG GLOBAL CON.INCOME FD.AI2 | EUR | 10,67 | 19.9. | | 4,61 | 9,89 | -3,44 | - | | A0PG8P | BGF GLOBAL CORPORATE BOND FUND HEDGED D2 EUR | EUR | 13,45 | 19.9. | | 4,10 | 9,89 | -8,81 | -3,03 | | 630942 | BGF SUSTAINABLE ENERGY FUND E2 USD | USD | 15,46 | 19.9. | | 0,91 | 9,88 | -4,45 | 71,59 | | A3C8XK | BSF EM.COMPANIES ABS.RET.I2 JPY H | JPY | 8,963,19 | 19.9. | | 7,51 | 9,87 | - | - | | A3C8XL | BSF GL.REAL ASSET SEC.FD.A2 EUR H | EUR | 82,80 | 19.9. | | 4,35 | 9,87 | - | - | | A2JHHG | BGF ASIAN GROWTH LEADERS F.I4 USD | USD | 9,67 | 19.9. | | 6,97 | 9,86 | -16,64 | 15,91 | | A118Y9 | BGF ASIAN GROWTH LEADERS FUND I2 USD | USD | 15,61 | 19.9. | | 7,06 | 9,85 | -16,61 | 15,97 | | A2N6AX | BGF ESG GLOBAL CON.INCOME FD.A9 | EUR | 8,58 | 19.9. | | 4,48 | 9,81 | -3,55 | 4,64 | | A2JRZM | BGF ESG GLOBAL CON.INCOME FD.A2 | EUR | 10,75 | 19.9. | | 4,57 | 9,81 | -3,50 | 4,67 | | A3DN5L | BGF EM.MKTS.CORPORATE BOND I2 CHF H | CHF | 11,20 | 19.9. | | 5,86 | 9,80 | - | - | | A1J21M | BGF GLOBAL CORPORATE BOND A3 AUD H | AUD | 10,83 | 19.9. | | 4,13 | 9,80 | -7,74 | -1,35 | | A3D1CM | BGF EMERGING MARKETS SUSTAINABLE EQUITY FUND X2 CAD | CAD | 11,09 | 19.9. | | 6,12 | 9,80 | - | - | | A2ANMJ | BGF EURO CORPORATE BOND FUND A2 HEDGED GBP | GBP | 11,09 | 19.9. | | 3,84 | 9,80 | -2,38 | 0,36 | | A2PKLT | BGF ASIAN GROWTH LEADERS F.S2 USD | USD | 11,99 | 19.9. | | 7,05 | 9,80 | -16,85 | 15,29 | | A2P224 | BGF SU.FIXED INCOME GL.OPP.FD.X2 EUR | EUR | 10,87 | 19.9. | | 5,13 | 9,80 | 0,65 | - | | A1WZKN | ISHARES JAPAN EQUITY IN.FD.(LU) X2 EUR | EUR | 209,67 | 19.9. | | 10,84 | 9,80 | 8,52 | - | | A2JCRQ | BGF FIXED IN.GLOBAL OPPORT.F.D4 CAD H | CAD | 9,67 | 19.9. | | 4,95 | 9,79 | 4,13 | 12,39 | | A3CWSV | BGF NEXT GEN.HEALTH CARE FD.D2 | EUR | 8,08 | 19.9. | | 7,45 | 9,78 | -7,23 | - | | A1JUEP | BGF SUST.WORLD BOND F.X2 NOK H | NOK | 14,05 | 19.9. | | 3,92 | 9,77 | -5,83 | - | | A2JLRH | BSF MANAGED INDEX PF.DEF.A2 GBP H | GBP | 109,38 | 19.9. | | 5,09 | 9,76 | -1,50 | 1,67 | |
|
|