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Gewahlte Kriterien:
KAG: Goldman Sachs AM BV
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A0X8R0 | GOLDMAN SACHS GLOBAL FIXED INCOME PORTFOLIO (HEDGED) CLASS P SHARES (ACC.) | EUR | 14,07 | 13.11. | | 1,96 | 6,67 | -7,86 | - | | A3CUAX | GS GL.FIXED INC.P.PF.(HEDGED)IO SEK H | SEK | 91,13 | 13.11. | | 1,95 | 6,96 | -6,96 | - | | A2H530 | GOLDMAN SACHS EMERGING MARKETS TOTAL RETURN BOND PORTFOLIO CLASS E SHARES (ACC.) (EUR-HEDGED) | EUR | 95,34 | 13.11. | | 1,95 | 7,12 | -6,78 | - | | A1H9RE | GOLDMAN SACHS US DOLLAR CREDIT - P CAP USD | USD | 1,559,17 | 13.11. | | 1,94 | 10,17 | -8,02 | 3,00 | | A1H9RF | GOLDMAN SACHS US DOLLAR CREDIT - P DIS USD | USD | 3,200,48 | 13.11. | | 1,94 | 10,17 | -8,01 | 3,01 | | A3EF6W | GOLDMAN SACHS GREEN BOND - R CAP DKK (HEDGED I) | DKK | 2,157,11 | 13.11. | | 1,94 | 8,07 | - | - | | A3D7H4 | GOLDMAN SACHS GLOBAL CREDIT PORTFOLIO (HEDGED) OTHER CURRENCY SHARES (GROSS M-DIST) (EUR-HEDGED) | EUR | 9,99 | 13.11. | | 1,94 | 7,42 | - | - | | A112A1 | GOLDMAN SACHS GLOBAL CREDIT PORTFOLIO (HEDGED) OTHER CURRENCY SHARES (ACC.) (SEK-HEDGED) | SEK | 109,56 | 13.11. | | 1,92 | 7,32 | -9,85 | - | | A3EA86 | GOLDMAN SACHS COMMODITY ENHANCED - I CAP PLN (HEDGED I) | PLN | 29,257,62 | 13.11. | | 1,91 | -1,20 | - | - | | A0X8RZ | GOLDMAN SACHS GLOBAL FIXED INCOME PORTFOLIO (HEDGED) CLASS P SHARES | EUR | 10,73 | 13.11. | | 1,90 | 6,67 | -7,91 | - | | A3EBEZ | GOLDMAN SACHS US DOLLAR CREDIT - R CAP GBP (HEDGED I) | GBP | 111,68 | 13.11. | | 1,90 | 10,06 | - | - | | A3D7H5 | GOLDMAN SACHS GLOBAL CREDIT PORTFOLIO (HEDGED) OTHER CURRENCY SHARES (ACC.) (EUR-HEDGED) | EUR | 10,78 | 13.11. | | 1,89 | 7,37 | - | - | | A1JP2W | GS TACTICAL TILT OVERLAY PF.P GBP H | GBP | 148,21 | 13.11. | | 1,88 | 4,51 | 5,59 | - | | A1JP2S | GOLDMAN SACHS TACTICAL TILT OVERLAY PORTFOLIO CLASS P SHARES (GBP-HEDGED) | GBP | 127,80 | 13.11. | | 1,88 | 4,52 | 5,61 | 15,43 | | A3EBA2 | GOLDMAN SACHS EUROZONE EQUITY INCOME - X DIS(M) AUD (HEDGED I) | AUD | 356,41 | 13.11. | | 1,87 | 8,78 | - | - | | A0HNRA | GOLDMAN SACHS US MORTGAGE BACKED SECURITIES PORTFOLIO BASE SHARES (ACC.) | USD | 15,84 | 13.11. | | 1,86 | 7,54 | -7,64 | -4,52 | | A0HNN5 | GOLDMAN SACHS US FIXED INCOME PORTFOLIO CLASS I SHARES (ACC.) | USD | 16,43 | 13.11. | | 1,86 | 7,32 | -7,28 | -0,24 | | A2AG6N | GOLDMAN SACHS US MORTGAGE BACKED SECURITIES PORTFOLIO CLASS A SHARES (ACC.) (PLN-HEDGED) | PLN | 10,45 | 13.11. | | 1,85 | 7,62 | -2,25 | - | | A1JHZX | GOLDMAN SACHS COMMODITY ENHANCED - I CAP USD | USD | 4,677,28 | 13.11. | | 1,85 | -1,34 | -0,42 | 39,62 | | A1WYZH | GS E.M.DEBT BLEND PF.BASE USD | USD | 68,66 | 13.11. | | 1,82 | 7,54 | 2,33 | - | |
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