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Gewahlte Kriterien:
KAG: Baring Int.Fd.M.(IE)
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A3EDW7 | BARINGS U.S. HIGH YIELD BOND FUND - TRANCHE A1 USD ACCUMULATION | USD | 127,38 | 19.8. |  | 5,14 | 7,53 | 23,11 | 28,08 |  | A3EDWC | BARINGS EMERGING MARKETS CORPORATE BOND FUND - TRANCHE IA USD ACCUMULATION | USD | 108,91 | 19.8. |  | 6,21 | 7,52 | 25,00 | 2,49 |  | A3EFR0 | BARINGS GLOBAL HIGH YIELD BOND FUND - TRANCHE G GBP ACCUMULATION | GBP | 122,36 | 19.8. |  | 5,12 | 7,52 | 23,43 | - |  | A3EGTF | BARINGS EMERGING MARKETS SOVEREIGN DEBT FUND - TRANCHE I CHF DISTRIBUTION | CHF | 81,11 | 19.8. |  | 7,02 | 7,49 | 19,50 | - |  | A40YMQ | BARINGS EMERGING MARKETS CORPORATE BOND FUND - TRANCHE A GBP ACCUMULATION | GBP | 133,17 | 19.8. |  | 6,21 | 7,48 | 24,02 | 2,78 |  | A3EFR7 | BARINGS U.S. HIGH YIELD BOND FUND - TRANCHE G USD ACCUMULATION | USD | 112,85 | 19.8. |  | 5,11 | 7,48 | 22,89 | - |  | A2QP1P | BARINGS GLOBAL HIGH YIELD BOND FUND - TRANCHE B EUR DISTRIBUTION | EUR | 93,73 | 19.8. |  | 4,83 | 7,47 | 22,37 | 25,83 |  | BA0009 | BARINGS EMERGING MARKETS DEBT BLENDED TOTAL RETURN FUND - TRANCHE C CHF DISTRIBUTION | CHF | 78,48 | 19.8. |  | 8,63 | 7,45 | 15,50 | - |  | A3EEL5 | BARINGS EUROPEAN HIGH YIELD BOND FUND - TRANCHE IA USD DISTRIBUTION | USD | 95,12 | 19.8. |  | 4,57 | 7,45 | 28,62 | 21,52 |  | A1JM59 | BARINGS DEVELOPED AND EMERGING MARKETS HIGH YIELD BOND FUND - TRANCHE G USD ACC | USD | 19,09 | 19.8. |  | 5,12 | 7,43 | 25,34 | 23,72 |  | A3EDZ5 | BARINGS EMERGING MARKETS CORPORATE BOND FUND - TRANCHE IA USD DISTRIBUTION | USD | 81,89 | 19.8. |  | 6,19 | 7,42 | 24,56 | -5,78 |  | A1CSH4 | BARINGS DEVELOPED AND EMERGING MARKETS HIGH YIELD BOND FUND - TRANCHE G HKD INC MONTHLY | HKD | 61,28 | 19.8. |  | 5,41 | 7,41 | 23,62 | 22,88 |  | A2AMNM | BARINGS U.S. HIGH YIELD BOND FUND - TRANCHE A EUR DISTRIBUTION | EUR | 107,43 | 19.8. |  | 4,80 | 7,37 | - | - |  | A40YMR | BARINGS EMERGING MARKETS CORPORATE BOND FUND - TRANCHE B USD ACCUMULATION | USD | 117,29 | 19.8. |  | 6,14 | 7,37 | - | - |  | A3EDWQ | BARINGS EMERGING MARKETS LOCAL DEBT FUND - TRANCHE N USD DISTRIBUTION | USD | 86,69 | 19.8. |  | 13,05 | 7,35 | 25,21 | -1,64 |  | A40YMS | BARINGS EMERGING MARKETS CORPORATE BOND FUND - TRANCHE I USD ACCUMULATION | USD | 110,98 | 19.8. |  | 6,09 | 7,28 | 24,43 | 3,14 |  | A2DQTG | BARINGS GLOBAL HIGH YIELD BOND FUND - TRANCHE I EUR DISTRIBUTION | EUR | 90,86 | 19.8. |  | 4,70 | 7,28 | 21,59 | 24,54 |  | A40KDA | BARINGS GLOBAL SENIOR SECURED BOND FUND - TRANCHE B EUR DISTRIBUTION | EUR | 97,23 | 19.8. |  | 4,45 | 7,27 | 21,81 | 13,62 |  | 807574 | BARINGS DEVELOPED AND EMERGING MARKETS HIGH YIELD BOND FUND - TRANCHE G USD INC MONTHLY DIVIDEND | USD | 7,73 | 19.8. |  | 4,94 | 7,25 | 24,24 | 22,05 |  | A40YMM | BARINGS U.S. HIGH YIELD BOND FUND - TRANCHE G GBP ACCUMULATION | GBP | 120,60 | 19.8. |  | 4,97 | 7,24 | - | - |  |
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