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Gewahlte Kriterien:
KAG: Lombard Odier F.(EU)
Fondstyp: alle
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A3CRHC | LO FUNDS - FALLEN ANGELS RECOVERY, (USD) MA | USD | 11,59 | 27.11. |  | 10,76 | 10,41 | 30,80 | - |  | A0Q0C4 | LO FUNDS - EUROPE HIGH CONVICTION (EUR) RA | EUR | 15,49 | 27.11. |  | 10,66 | 11,44 | 10,10 | 6,88 |  | A115H0 | PRIVILEDGE - MONDRIAN US EQUITY VALUE, SYST. HDG, (EUR), MD | EUR | 13,77 | 27.11. |  | 10,65 | 3,85 | 18,00 | - |  | A2P2H7 | LO FUNDS - PLANETARY TRANSITION, (EUR) NA | EUR | 14,66 | 20.10. |  | 10,63 | 10,64 | 34,41 | - |  | A2PVVH | LO FUNDS - ASIA INVESTMENT GRADE BOND, (USD), IA | USD | 12,10 | 27.11. |  | 10,55 | 9,40 | - | - |  | A2PVVQ | LO FUNDS - ASIA INVESTMENT GRADE BOND, (USD) ND | USD | 10,00 | 27.11. |  | 10,51 | 9,36 | 35,92 | - |  | A2PVVP | LO FUNDS - ASIA INVESTMENT GRADE BOND, (USD) NA | USD | 12,09 | 27.11. |  | 10,51 | 9,36 | 35,92 | - |  | A2JC8N | LO FUNDS - SWISS SMALL & MID CAPS, (CHF) PA | CHF | 12,49 | 27.11. |  | 10,51 | 10,62 | 17,93 | - |  | A115H1 | PRIVILEDGE - MONDRIAN US EQUITY VALUE, SYST. HDG, (EUR) PA | EUR | 14,05 | 27.11. |  | 10,45 | 3,64 | 16,52 | - |  | A2PVVL | LO FUNDS - ASIA INVESTMENT GRADE BOND, (USD) MD | USD | 10,17 | 27.11. |  | 10,39 | 9,23 | 35,44 | - |  | A2PVVK | LO FUNDS - ASIA INVESTMENT GRADE BOND, (USD) MA | USD | 12,00 | 27.11. |  | 10,39 | 9,22 | 35,44 | - |  | A3CRHJ | LO FUNDS - FALLEN ANGELS RECOVERY, (USD) PD | USD | 10,76 | 27.11. |  | 10,31 | 9,92 | - | - |  | A3CNQH | LO FUNDS - FALLEN ANGELS RECOVERY, (USD) PA | USD | 11,39 | 27.11. |  | 10,31 | 9,92 | 29,05 | - |  | A2JJEX | LO FUNDS - GLOBAL BBB-BB FUNDAMENTAL, (USD) PD | USD | 9,24 | 27.11. |  | 10,30 | 8,58 | 24,77 | - |  | A2PVWS | LO FUNDS - ASIA INVESTMENT GRADE BOND, SYST. NAV HDG, (GBP), ND | GBP | 12,35 | 27.11. |  | 10,28 | 9,10 | - | - |  | A2DPH6 | LO FUNDS - CONVERTIBLE BOND, SYST. NAV HDG, (CHF) IA | CHF | 25,51 | 27.11. |  | 10,27 | 8,03 | 16,46 | 0,18 |  | A3DQ1C | LO FUNDS - ASIA DIVERSIFIED HIGH YIELD BOND, (USD), MD | USD | 12,92 | 27.11. |  | 10,25 | 9,82 | - | - |  | A1JM7G | LO FUNDS - CONVERTIBLE BOND, SYST. NAV HDG, (CHF) NA | CHF | 25,42 | 27.11. |  | 10,22 | 8,02 | 16,33 | -0,01 |  | A1JM7H | LO FUNDS - CONVERTIBLE BOND, SYST. NAV HDG, (CHF) ND | CHF | 32,28 | 27.11. |  | 10,22 | 8,01 | 16,31 | - |  | A2DPN3 | LO FUNDS - TARGETNETZERO GLOBAL IG CORPORATE, (USD) IA | USD | 11,60 | 27.11. |  | 10,04 | 8,23 | 23,63 | - |  |
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