Gewahlte Kriterien:
KAG: BlackRock (LU)
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A0LG6Y | BGF EMERGING MARKETS LOCAL CURRENCY BOND FUND A3 EUR | EUR | 2,78 | 29.11. | | 0,51 | 2,47 | 9,93 | 2,80 | | A1XFUC | BSF SUSTAINABLE FIXED INCOME STRATEGIES FUND CLASS A4 HEDGED CHF | CHF | 102,22 | 28.11. | | 1,52 | 2,93 | 1,99 | 2,74 | | 622689 | BGF US DOLLAR BOND FD.X2 USD | USD | 11,27 | 29.11. | | 3,78 | 7,33 | -4,97 | 2,73 | | A2JCRL | BGF FIXED IN.GLOBAL OPPORT.F.A2 SEK H | SEK | 104,13 | 29.11. | | 2,89 | 5,57 | -1,53 | 2,73 | | A2H6W1 | BGF EURO SHORT DURATION BOND I5 EUR | EUR | 16,12 | 29.11. | | 3,68 | 5,01 | 3,06 | 2,71 | | A1JFDL | BSF SUSTAINABLE FIXED INCOME STRATEGIES FUND CLASS A2 HEDGED CHF | CHF | 104,15 | 28.11. | | 1,52 | 2,93 | 1,96 | 2,69 | | A0YE4U | BGF EURO SHORT DURATION BOND FUND I2 EUR | EUR | 16,90 | 29.11. | | 3,62 | 4,97 | 3,05 | 2,67 | | A2DLY0 | BSF EM.MKTS.FLEX.DYNAMIC BOND F.D2 CHF H | CHF | 87,93 | 29.11. | | -0,29 | 3,07 | 0,45 | 2,58 | | A2JCMB | BGF EURO CORPORATE BOND X5 EUR | EUR | 9,71 | 29.11. | | 5,38 | 8,61 | -0,17 | 2,52 | | A1J7BF | BGF WORLD REAL ESTATE SEC.A2 USD | USD | 16,45 | 29.11. | | 6,82 | 17,00 | -13,05 | 2,49 | | A0X8AT | BGF EURO CORPORATE BOND X2 EUR | EUR | 19,85 | 29.11. | | 5,42 | 8,59 | -0,20 | 2,48 | | A1J2QQ | BGF GLOBAL MULTI-ASSET INCOME FUND E5G EUR HEDGED | EUR | 6,44 | 29.11. | | 6,16 | 9,98 | -3,43 | 2,45 | | A0KDTU | BGF FIXED INCOME GLOBAL OPPORTUNITIES FUND HEDGED A5 EUR | EUR | 6,28 | 29.11. | | 3,23 | 5,93 | -1,76 | 2,38 | | A1C1GU | BGF EMERGING MARKETS LOCAL CURRENCY BOND FUND I2 USD | USD | 26,12 | 29.11. | | -3,12 | -0,38 | 5,32 | 2,31 | | A14WT2 | BGF FIXED IN.GLOBAL OPPORT.F.X2 CHF H | CHF | 12,05 | 29.11. | | 1,86 | 4,42 | -3,06 | 2,29 | | A0PG6X | BGF EURO SHORT DURATION BOND FUND D2 EUR | EUR | 16,87 | 29.11. | | 3,56 | 4,91 | 2,87 | 2,24 | | A2DTSQ | BGF EM.MKTS.LOCAL CURR.BOND F.I5 USD | USD | 7,30 | 29.11. | | -3,21 | -0,46 | 5,20 | 2,21 | | A1J4MT | BGF EURO SHORT DURATION BOND FUND D4 EUR | EUR | 14,74 | 29.11. | | 3,51 | 4,81 | 2,81 | 2,19 | | A2PEDD | BLACKROCK S. EU.CORP.BF X2 EUR | EUR | 103,60 | 29.11. | | 5,32 | 8,22 | -0,55 | 2,18 | | A2JF6C | BGF EM.MKTS.LOCAL CURR.BOND F.A2 CZK | CZK | 568,88 | 29.11. | | 3,23 | 7,40 | 8,72 | 2,16 | |
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