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Gewahlte Kriterien:
KAG: Lombard Odier F.(EU)
Fondstyp: alle
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Sortiert nach: Performance 5 Jahre |
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A0RBP8 | LO FUNDS - CONVERTIBLE BOND ASIA, (USD) SA | USD | 29,97 | 2.2. |  | 3,84 | 38,60 | 59,86 | - |  | A1J96A | LO FUNDS - CONVERTIBLE BOND ASIA, SYST. NAV HDG, (CHF) MA | CHF | 18,77 | 2.2. |  | 3,31 | 30,85 | 35,54 | - |  | A1J96B | LO FUNDS - CONVERTIBLE BOND ASIA, SYST. NAV HDG, (CHF) MD | CHF | 18,68 | 2.2. |  | 3,31 | 30,85 | 35,54 | - |  | A1J96D | LO FUNDS - CONVERTIBLE BOND ASIA, SYST. NAV HDG, (EUR) MD | EUR | 21,88 | 2.2. |  | 3,54 | 33,78 | 45,21 | - |  | A2DPH9 | LO FUNDS - CONVERTIBLE BOND, (EUR) ID | EUR | 23,27 | 2.2. |  | 1,58 | 12,21 | 21,65 | - |  | A1J96H | LO FUNDS - CONVERTIBLE BOND, SYST. NAV HDG, (CHF) MD | CHF | 29,74 | 2.2. |  | 1,33 | 9,41 | 12,40 | - |  | A2H5D5 | LO FUNDS - CONVERTIBLE BOND, SYST. NAV HDG, (GBP) ND | GBP | 13,65 | 2.2. |  | 1,70 | 14,19 | 26,84 | - |  | A1W77K | LO FUNDS - CONVERTIBLE BOND, SYST. NAV HDG, (USD) MD | USD | 38,35 | 2.2. |  | 1,70 | 14,41 | 27,88 | - |  | A1KBCD | LO FUNDS - CONVERTIBLE BOND, SYST. NAV HDG, (USD) ND | USD | 38,05 | 2.2. |  | -0,78 | 12,49 | 28,63 | - |  | A2PHPW | LO FUNDS - CONVERTIBLE BOND, SYST. NAV HDG, X1, (USD) MD | USD | 39,07 | 2.2. |  | 1,74 | 14,97 | 29,75 | - |  | A2PHPS | LO FUNDS - CONVERTIBLE BOND, X1, (EUR) MD | EUR | 21,43 | 2.2. |  | 1,60 | 12,49 | 22,55 | - |  | A3EKHK | LO FUNDS - DATAEDGE MARKET NEUTRAL (USD) NA | USD | 9,58 | 2.2. |  | -2,89 | -7,21 | - | - |  | A40MJA | LO FUNDS - DOM GLOBAL MACRO, (USD), NA | USD | 9,92 | 30.1. |  | -2,39 | -0,74 | - | - |  | A40MJC | LO FUNDS - DOM GLOBAL MACRO, (USD), PA | USD | 9,88 | 30.1. |  | -2,46 | -1,14 | - | - |  | A40MJ0 | LO FUNDS - DOM GLOBAL MACRO, SEED, (USD) IA | USD | 10,12 | 20.1. |  | -0,97 | 1,17 | - | - |  | A40MJ5 | LO FUNDS - DOM GLOBAL MACRO, SEED, (USD), MA | USD | 9,97 | 30.1. |  | -2,39 | -0,24 | - | - |  | A40W1Y | LO FUNDS - DOM GLOBAL MACRO, SYST. NAV HDG, (CHF), EA | CHF | 9,96 | 31.12. |  | - | - | - | - |  | A40MK1 | LO FUNDS - DOM GLOBAL MACRO, SYST. NAV HDG, SEED, (CHF), MA | CHF | 9,53 | 30.1. |  | -2,87 | -4,52 | - | - |  | A40MJF | LO FUNDS - DOM GLOBAL MACRO, SYST. NAV HDG, SEED, (EUR), IA | EUR | 9,91 | 20.1. |  | -1,15 | -0,19 | - | - |  | A40Q10 | LO FUNDS - DOM GLOBAL MACRO, SYST. NAV HDG, X2, SEED, (CHF), MA | CHF | 9,53 | 30.1. |  | -2,87 | -4,82 | - | - |  |
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