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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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A1J96N | LO FUNDS - EMERGING HIGH CONVICTION, SYST. NAV HDG, (CHF) MA | CHF | 14,50 | 27.11. |  | 26,95 | 25,87 | 39,58 | - |  | A1J96P | LO FUNDS - EMERGING HIGH CONVICTION, SYST. NAV HDG, (CHF) MD | CHF | 13,91 | 27.11. |  | 26,95 | 25,87 | 39,59 | - |  | A2DPJX | LO FUNDS - EMERGING HIGH CONVICTION, SYST. NAV HDG, (EUR) IA | EUR | 16,69 | 27.11. |  | 29,78 | 29,03 | 50,21 | - |  | A1J96Q | LO FUNDS - EMERGING HIGH CONVICTION, SYST. NAV HDG, (EUR) MA | EUR | 16,04 | 27.11. |  | 29,50 | 28,72 | 49,15 | - |  | A1J96R | LO FUNDS - EMERGING HIGH CONVICTION, SYST. NAV HDG, (EUR) MD | EUR | 15,35 | 27.11. |  | 29,50 | 28,72 | 49,16 | - |  | A2PHQD | LO FUNDS - EMERGING HIGH CONVICTION, X1, (USD) MA | USD | 20,66 | 27.11. |  | 33,12 | 32,63 | 61,89 | - |  | A2PHQE | LO FUNDS - EMERGING HIGH CONVICTION, X1, (USD) MD | USD | 19,57 | 27.11. |  | 33,12 | 32,63 | 61,89 | - |  | A2DPJ5 | LO FUNDS - EMERGING VALUE BOND, (CHF) IA | CHF | 9,10 | 27.11. |  | 4,55 | 6,26 | 11,32 | - |  | A1J966 | LO FUNDS - EMERGING VALUE BOND, (CHF) MA | CHF | 8,92 | 27.11. |  | 4,39 | 6,07 | 10,72 | - |  | A1J968 | LO FUNDS - EMERGING VALUE BOND, (EUR) MA | EUR | 13,76 | 27.11. |  | 4,92 | 5,79 | 16,53 | - |  | A1J97A | LO FUNDS - EMERGING VALUE BOND, (USD) MA | USD | 11,08 | 27.11. |  | 17,48 | 16,03 | 29,94 | - |  | A2DPKK | LO FUNDS - EURO BBB-BB FUNDAMENTAL, (EUR) IA | EUR | 15,37 | 27.11. |  | 3,26 | 3,46 | 19,31 | - |  | A1J97E | LO FUNDS - EURO BBB-BB FUNDAMENTAL, (EUR) MA | EUR | 14,84 | 27.11. |  | 3,10 | 3,29 | 18,70 | - |  | A1J97F | LO FUNDS - EURO BBB-BB FUNDAMENTAL, (EUR) MD | EUR | 11,76 | 27.11. |  | 3,10 | 3,29 | 18,70 | - |  | A1CWCK | LO FUNDS - EURO BBB-BB FUNDAMENTAL, (EUR) PD | EUR | 10,58 | 27.11. |  | 2,68 | 2,82 | 17,11 | - |  | A12CDM | LO FUNDS - EURO BBB-BB FUNDAMENTAL, (EUR) SD | EUR | 12,41 | 27.11. |  | 3,78 | 4,03 | 21,29 | - |  | A2DPKH | LO FUNDS - EURO BBB-BB FUNDAMENTAL, SYST. NAV HDG, (CHF) IA | CHF | 17,47 | 27.11. |  | 1,07 | 0,98 | 11,14 | - |  | A1J97C | LO FUNDS - EURO BBB-BB FUNDAMENTAL, SYST. NAV HDG, (CHF) MA | CHF | 16,87 | 27.11. |  | 0,91 | 0,81 | 10,58 | - |  | A1J97D | LO FUNDS - EURO BBB-BB FUNDAMENTAL, SYST. NAV HDG, (CHF) MD | CHF | 15,17 | 27.11. |  | 0,91 | 0,81 | 10,56 | - |  | A1CWCS | LO FUNDS - EURO BBB-BB FUNDAMENTAL, SYST. NAV HDG, (CHF), PD | CHF | 15,68 | 27.11. |  | 0,50 | 0,36 | - | - |  |
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