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Gewahlte Kriterien:
KAG: Lombard Odier F.(EU)
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A1XEFJ | LO SELECTION - TARGETNETZERO (USD) CREDIT BOND PA | USD | 126,36 | 27.11. |  | 6,55 | 6,02 | 16,88 | - |  | A1XEFK | LO SELECTION - TARGETNETZERO (USD) CREDIT BOND PD | USD | 106,31 | 27.11. |  | 6,55 | 6,02 | 16,87 | - |  | A2PHL0 | LO FUNDS - ALL ROADS, X1, (EUR) MD | EUR | 14,61 | 27.11. |  | 4,10 | 3,22 | 16,86 | - |  | A2PHLZ | LO FUNDS - ALL ROADS, X1, (EUR) MA | EUR | 15,94 | 27.11. |  | 4,09 | 3,21 | 16,83 | 14,73 |  | A1J979 | LO FUNDS - GLOBAL BBB-BB FUNDAMENTAL, SYST. MULTI CCY HDG, (EUR) MD | EUR | 9,32 | 27.11. |  | 5,30 | 4,13 | 16,77 | - |  | A116T0 | LO FUNDS - ULTRA LOW DURATION (USD) PA | USD | 12,52 | 27.11. |  | 4,29 | 4,72 | 16,77 | - |  | A2DPHX | LO FUNDS - TRANSITION MATERIALS, SYST. NAV HDG, (CHF) IA | CHF | 7,77 | 27.11. |  | 21,50 | 18,54 | 16,70 | - |  | 989683 | LO FUNDS - TARGETNETZERO EURO IG CORPORATE PD | EUR | 9,77 | 27.11. |  | 2,49 | 2,53 | 16,70 | -2,68 |  | 989682 | LO FUNDS - TARGETNETZERO EURO IG CORPORATE PA | EUR | 19,34 | 27.11. |  | 2,50 | 2,53 | 16,70 | -2,68 |  | A2PHRF | LO FUNDS - EUROPE HIGH CONVICTION, X1, (EUR) MA | EUR | 18,89 | 27.11. |  | 12,63 | 13,63 | 16,69 | - |  | A2PHRG | LO FUNDS - EUROPE HIGH CONVICTION, X1, (EUR) MD | EUR | 16,03 | 27.11. |  | 12,63 | 13,63 | 16,69 | - |  | A1CXHD | LO FUNDS - SOCIAL SYSTEMS CHANGE, (USD) NA | USD | 39,33 | 27.11. |  | 7,67 | 2,57 | 16,66 | 11,66 |  | A143AJ | LO FUNDS - SOCIAL SYSTEMS CHANGE, (USD) ND | USD | 37,25 | 27.11. |  | 7,67 | 2,57 | 16,66 | - |  | A2PHR0 | LO FUNDS - EVENT DRIVEN, SYST. NAV HDG, X1, (EUR) MD | EUR | 11,38 | 27.11. |  | 1,75 | 3,03 | 16,62 | - |  | A2PHRZ | LO FUNDS - EVENT DRIVEN, SYST. NAV HDG, X1, (EUR) MA | EUR | 11,84 | 27.11. |  | 1,75 | 3,03 | 16,61 | - |  | A1J978 | LO FUNDS - GLOBAL BBB-BB FUNDAMENTAL, SYST. MULTI CCY HDG, (EUR) MA | EUR | 12,33 | 27.11. |  | 5,30 | 4,13 | 16,61 | -6,22 |  | A2PHN1 | LO FUNDS - SWISS FRANC CREDIT BOND (FOREIGN), X1 MA | CHF | 14,81 | 27.11. |  | 1,95 | 2,66 | 16,58 | - |  | A2PHN2 | LO FUNDS - SWISS FRANC CREDIT BOND (FOREIGN), X1 MD | CHF | 14,14 | 27.11. |  | 1,95 | 2,66 | 16,58 | - |  | A1JB4K | LO FUNDS - TRANSITION MATERIALS, SYST. NAV HDG, (CHF) NA | CHF | 7,74 | 27.11. |  | 21,46 | 18,49 | 16,56 | - |  | A1J968 | LO FUNDS - EMERGING VALUE BOND, (EUR) MA | EUR | 13,76 | 27.11. |  | 4,92 | 5,79 | 16,53 | - |  |
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