 |
Gewahlte Kriterien:
KAG: abrdn Inv.(LU)
Fondstyp: alle
|
Sortiert nach: Performance 5 Jahre |
Suche ändern
Neue Suche |
|
|
Klicken Sie auf eine Spaltenüberschrift, um zu sortieren. |
|
AB0028 | ABRDN SICAV II - EMERGING MARKET LOCAL CURRENCY DEBT FUND, A ACC HEDGED EUR SHARES | EUR | 10,92 | 8.7. |  | 10,21 | 8,42 | - | - |  | AB0048 | ABRDN SICAV II - EMERGING MARKET LOCAL CURRENCY DEBT FUND, B ACC GBP SHARES | GBP | 11,78 | 8.7. |  | 3,45 | 5,39 | - | - |  | A3EH0N | ABRDN SICAV II - EMERGING MARKET LOCAL CURRENCY DEBT FUND, D ACC EUR SHARES | EUR | 11,01 | 8.7. |  | -0,52 | 3,18 | - | - |  | A1WZZG | ABRDN SICAV II - EMERGING MARKET LOCAL CURRENCY DEBT FUND, D ACC GBP SHARES | GBP | 12,83 | 8.7. |  | 3,48 | 5,44 | 18,35 | - |  | A3EH0W | ABRDN SICAV II - EMERGING MARKET LOCAL CURRENCY DEBT FUND, D ACC USD SHARES | USD | 12,22 | 8.7. |  | 12,07 | 11,77 | - | - |  | A3E347 | ABRDN SICAV II - EMERGING MARKET LOCAL CURRENCY DEBT FUND, K ACC EUR SHARES | EUR | 10,82 | 8.7. |  | -0,45 | 3,35 | - | - |  | A3E348 | ABRDN SICAV II - EMERGING MARKET LOCAL CURRENCY DEBT FUND, K ACC USD SHARES | USD | 11,95 | 8.7. |  | 12,19 | 11,98 | - | - |  | AB0049 | ABRDN SICAV II - EMERGING MARKET LOCAL CURRENCY DEBT FUND, K INC GBP SHARES | GBP | 7,86 | 8.7. |  | 3,59 | 5,65 | - | - |  | AB0047 | ABRDN SICAV II - EMERGING MARKET LOCAL CURRENCY DEBT FUND, Z ACC EUR SHARES | EUR | 12,91 | 8.7. |  | -0,21 | 3,82 | - | - |  | A3DQPT | ABRDN SICAV II - EMERGING MARKET LOCAL CURRENCY DEBT FUND, Z ACC GBP SHARES | GBP | 14,04 | 8.7. |  | 3,83 | 6,13 | - | - |  | A3EV01 | ABRDN SICAV II - EMERGING MARKET LOCAL CURRENCY DEBT FUND, Z INC GBP SHARES | GBP | 7,65 | 8.7. |  | 3,77 | 6,07 | - | - |  | A116P4 | ABRDN SICAV II - EURO CORPORATE BOND FUND, B ACC EUR SHARES | EUR | 11,68 | 8.7. |  | 1,92 | 5,90 | 12,07 | - |  | A116P5 | ABRDN SICAV II - EURO CORPORATE BOND FUND, B INC EUR SHARES | EUR | 9,83 | 8.7. |  | 1,92 | 5,90 | 12,07 | - |  | AB0057 | ABRDN SICAV II - EURO CORPORATE BOND FUND, D INC HEDGED GBP SHARES | GBP | 10,83 | 8.7. |  | 2,96 | 7,71 | - | - |  | A2JC8M | ABRDN SICAV II - EURO CORPORATE BOND FUND, J ACC EUR SHARES | EUR | 9,91 | 8.7. |  | 2,04 | 6,13 | 12,83 | - |  | A2QLN0 | ABRDN SICAV II - EURO CORPORATE BOND FUND, J INC EUR SHARES | EUR | 9,10 | 8.7. |  | 2,04 | 6,13 | 12,78 | - |  | AB0059 | ABRDN SICAV II - EURO CORPORATE BOND FUND, J INC HEDGED GBP SHARES | GBP | 10,45 | 8.7. |  | 3,07 | 7,97 | - | - |  | A1W7XP | ABRDN SICAV II - EURO CORPORATE BOND FUND, K ACC EUR SHARES | EUR | 12,67 | 8.7. |  | 2,09 | 6,23 | 13,11 | - |  | AB0060 | ABRDN SICAV II - EURO CORPORATE BOND FUND, K INC EUR SHARES | EUR | 9,60 | 8.7. |  | 2,09 | 6,23 | - | - |  | AB0058 | ABRDN SICAV II - EURO CORPORATE BOND FUND, K INC HEDGED GBP SHARES | GBP | 10,57 | 8.7. |  | 3,07 | 8,00 | - | - |  |
|
|
|