Gewahlte Kriterien:
KAG: AllianceBernstein LU
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A3CP4S | AB SICAV I SHORT DURATION HIGH YIELD PORTFOLIO CLASS CT | USD | 13,22 | 27.11. | | 6,06 | 9,61 | - | - | | A1JQJZ | AB SICAV I SH.DU.HIGH YIELD PF.C2 USD | USD | 23,18 | 27.11. | | 5,99 | 9,60 | 8,17 | 17,01 | | A3CQBA | AB FCP I EUROPEAN INC.PF.A2 USD H | USD | 20,89 | 27.11. | | 5,99 | 11,18 | 6,04 | 13,66 | | A3CP66 | AB FCP I EUROPEAN INC.PF.AA USD H | USD | 10,82 | 27.11. | | 5,98 | 11,24 | 5,48 | - | | A2PR93 | AB SICAV I INT.HEALTH CARE PF.A SGD | SGD | 776,03 | 27.11. | | 5,98 | 9,93 | 6,53 | 48,54 | | A2PMUX | AB FCP I EUROPEAN INC.PF.AT USD H | USD | 13,33 | 27.11. | | 5,97 | 11,20 | 5,61 | - | | A3CP4H | AB SICAV I SHORT DURATION HIGH YIELD PORTFOLIO CLASS NT | USD | 13,09 | 27.11. | | 5,90 | 9,54 | - | - | | A3CQKR | AB SICAV I LOW VOLATILITY TOTAL RETURN EQUITY PORTFOLIO CLASS A PLN H | PLN | 115,46 | 27.11. | | 5,87 | 5,34 | - | - | | A0YJFA | AB FCP I GLOBAL HIGH YIELD PORTFOLIO CLASS A2 EUR H | EUR | 24,73 | 27.11. | | 5,86 | 10,55 | 0,86 | 2,96 | | A3CP49 | AB FCP I GLOBAL HIGH YIELD PF.AK EUR H | EUR | 10,17 | 27.11. | | 5,85 | 10,51 | 11,85 | 14,40 | | A1W9T1 | AB SICAV I SUSTAINABLE EURO HIGH YIELD PORTFOLIO CLASS A | EUR | 15,20 | 27.11. | | 5,84 | 10,36 | - | - | | A1H5VR | AB FCP I GLOBAL HIGH YIELD PF.AT EUR H | EUR | 10,68 | 27.11. | | 5,82 | 10,41 | 0,78 | 2,85 | | A3CQCF | AB FCP I MORTGAGE INCOME PORTFOLIO CLASS AA RMB H | CNH | 66,70 | 27.11. | | 5,80 | 7,32 | - | - | | A14PH6 | AB FCP I GLOBAL HIGH YIELD PORTFOLIO CLASS AR EUR H | EUR | 8,22 | 27.11. | | 5,80 | 10,46 | 0,49 | 2,69 | | A2PMVF | AB FCP I GLOBAL HIGH YIELD PF.AA EUR H | EUR | 7,73 | 27.11. | | 5,79 | 10,43 | 0,11 | - | | A1J4S7 | AB SICAV I EMERGING MARKET CORPORATE DEBT PORTFOLIO CLASS A2 EUR H | EUR | 19,55 | 27.11. | | 5,73 | 9,22 | -3,88 | 3,17 | | A3CP0P | AB FCP I GLOBAL HIGH YIELD PF.J USD | USD | 3,45 | 27.11. | | 5,72 | 11,00 | 1,55 | - | | A3CP8H | AB FCP I GLOBAL HIGH YIELD PF.AA SGD H | SGD | 7,82 | 27.11. | | 5,71 | 10,34 | 2,90 | - | | A1C3A5 | AB FCP II AB EM.MKT.VALUE PF.A USD | USD | 53,89 | 27.11. | | 5,71 | 10,91 | -2,43 | 14,56 | | A3CQHS | AB SICAV I INTERNATIONAL HEALTH CARE PORTFOLIO CLASS I | GBP | 25,09 | 27.11. | | 5,69 | 10,14 | - | - | |
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