 |
Gewahlte Kriterien:
KAG: Lombard Odier F.(EU)
Fondstyp: alle
|
Sortiert nach: YTD Performance |
Suche ändern
Neue Suche |
| |
|
| Klicken Sie auf eine Spaltenüberschrift, um zu sortieren. |
|
A2PVVR | LO FUNDS - ASIA INVESTMENT GRADE BOND, (USD) PA | USD | 11,75 | 27.11. |  | 10,03 | 8,83 | 33,98 | - |  | A2PVVS | LO FUNDS - ASIA INVESTMENT GRADE BOND, (USD) PD | USD | 10,11 | 27.11. |  | 10,03 | 8,83 | 33,98 | - |  | A2DPLE | LO FUNDS - EUROPE HIGH CONVICTION, SYST. NAV HDG, (CHF) IA | CHF | 15,10 | 27.11. |  | 10,03 | 10,68 | 7,92 | - |  | A1J96G | LO FUNDS - CONVERTIBLE BOND, SYST. NAV HDG, (CHF) MA | CHF | 12,25 | 27.11. |  | 10,02 | 7,80 | 15,63 | -0,94 |  | A1J96H | LO FUNDS - CONVERTIBLE BOND, SYST. NAV HDG, (CHF) MD | CHF | 29,57 | 27.11. |  | 10,02 | 7,80 | 15,63 | - |  | A1J8RX | LO FUNDS - TARGETNETZERO GLOBAL IG CORPORATE, (USD) NA | USD | 11,57 | 27.11. |  | 9,99 | 8,18 | 23,48 | -1,78 |  | A14NJM | LO FUNDS - EUROPE HIGH CONVICTION, SYST. NAV HDG, (CHF) NA | CHF | 15,13 | 27.11. |  | 9,99 | 10,63 | 7,79 | - |  | A14NJP | LO FUNDS - EUROPE HIGH CONVICTION, SYST. NAV HDG, (CHF), MA | CHF | 14,87 | 27.11. |  | 9,82 | 10,44 | 7,23 | - |  | A14NJQ | LO FUNDS - EUROPE HIGH CONVICTION, SYST. NAV HDG, (CHF) MD | CHF | 14,28 | 27.11. |  | 9,82 | 10,44 | 7,23 | - |  | A2PHNK | LO FUNDS - ASIA VALUE BOND, SYST. NAV HDG, X1, (EUR) MA | EUR | 134,64 | 27.11. |  | 9,74 | 8,72 | 34,70 | -0,79 |  | A2DPHG | LO FUNDS - ASIA VALUE BOND, SYST. NAV HDG, (EUR) ID | EUR | 104,73 | 27.11. |  | 9,74 | 8,72 | 34,75 | - |  | A2PHNL | LO FUNDS - ASIA VALUE BOND, SYST. NAV HDG, X1, (EUR) MD | EUR | 97,29 | 27.11. |  | 9,74 | 8,72 | 34,75 | - |  | A2DPHF | LO FUNDS - ASIA VALUE BOND, SYST. NAV HDG, (EUR) IA | EUR | 136,36 | 27.11. |  | 9,74 | 8,72 | 34,69 | -0,78 |  | A2ARVK | LO FUNDS - ASIA VALUE BOND, SYST. NAV HDG, (EUR) ND | EUR | 98,79 | 27.11. |  | 9,70 | 8,68 | 34,59 | - |  | A2ARVJ | LO FUNDS - ASIA VALUE BOND, SYST. NAV HDG, (EUR) NA | EUR | 135,61 | 27.11. |  | 9,70 | 8,68 | 34,53 | -0,99 |  | A2PVGF | LO FUNDS - ASIA VALUE BOND, SYST. NAV HDG, (SGD) ND2 | SGD | 79,16 | 27.11. |  | 9,46 | 8,44 | 35,24 | - |  | A1JM7F | LO FUNDS - CONVERTIBLE BOND, SYST. NAV HDG, (CHF) PD | CHF | 27,55 | 27.11. |  | 9,44 | 7,18 | 13,64 | -3,82 |  | A1JM7E | LO FUNDS - CONVERTIBLE BOND, SYST. NAV HDG, (CHF) PA | CHF | 23,19 | 27.11. |  | 9,43 | 7,16 | 13,62 | -3,82 |  | A2ARVM | LO FUNDS - ASIA VALUE BOND, SYST. NAV HDG, (EUR) MD | EUR | 90,94 | 27.11. |  | 9,42 | 8,37 | 33,46 | -2,32 |  | A2ARVL | LO FUNDS - ASIA VALUE BOND, SYST. NAV HDG, (EUR) MA | EUR | 131,94 | 27.11. |  | 9,42 | 8,37 | 33,41 | -2,36 |  |
|
|
|