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Gewahlte Kriterien:
KAG: Franklin Templeton
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A114CT | FTGF BW GL.FIXED INC.AR GBP X H | GBP | 101,82 | 27.11. | | -0,42 | 3,92 | -3,71 | 3,82 | | A0M5C4 | FTGF BW GL.FIXED INC.FD.LM USD | USD | 90,28 | 27.11. | | -3,34 | 3,90 | -12,80 | - | | A1W15Y | FRANKLIN TEMPLETON GLOBAL FUNDS PLC FTGF BRANDYWINE GLOBAL FIXED INCOME ABSOLUTE RETURN FUND KLASSE A USD DIS (A) | USD | 87,37 | 27.11. | | -0,48 | 3,90 | -2,70 | 5,63 | | A1JJE6 | FRANKLIN TEMPLETON GLOBAL FUNDS PLC FTGF BRANDYWINE GLOBAL FIXED INCOME ABSOLUTE RETURN FUND KLASSE A USD ACC | USD | 118,46 | 27.11. | | -0,48 | 3,89 | -2,70 | 5,57 | | A2ANR3 | F.U.S.LOW DURATION FD.A-H1 EUR H | EUR | 9,39 | 27.11. | | 2,40 | 3,87 | -2,69 | -2,59 | | A1T93Q | FRANKLIN TEMPLETON GLOBAL FUNDS PLC FTGF BRANDYWINE GLOBAL FIXED INCOME ABSOLUTE RETURN FUND KLASSE X GBP DIS (M) H | GBP | 77,38 | 27.11. | | -0,47 | 3,87 | -3,83 | 3,82 | | A0NFTW | FTGF WA ASIAN OP.FD.A SGD H | SGD | 0,65 | 27.11. | | 0,64 | 3,86 | -6,06 | -3,28 | | A2PWGU | F.K2 BARD.H.A.UCITS FD.I PF H | EUR | 11,14 | 27.11. | | 2,20 | 3,82 | 5,29 | 11,40 | | A0NFTV | FTGF WA ASIAN OP.FD.A SGD H | SGD | 1,43 | 27.11. | | 0,56 | 3,77 | -6,10 | -3,25 | | A1JMWA | FTGF BW GL.OP.FIXED INC.LM NZD H | NZD | 180,31 | 27.11. | | -2,49 | 3,74 | -5,34 | - | | A1JSFN | FRANKLIN TEMPLETON INVESTMENT FUNDS TEMPLETON EUROPEAN OPPORTUNITIES FUND KLASSE A (YDIS) GBP | GBP | 15,42 | 28.11. | | -0,57 | 3,74 | 3,63 | -8,53 | | A1H7Y0 | FRANKLIN TEMPLETON INVESTMENT FUNDS TEMPLETON CHINA FUND KLASSE Z (ACC) USD | USD | 8,38 | 27.11. | | 11,29 | 3,71 | -43,87 | - | | A1KC8M | FRANKLIN TEMPLETON INVESTMENT FUNDS TEMPLETON EUROPEAN OPPORTUNITIES FUND KLASSE A (ACC) USD | USD | 10,07 | 28.11. | | -0,98 | 3,71 | -1,18 | -10,17 | | 812943 | FRANKLIN TEMPLETON INVESTMENT FUNDS TEMPLETON GLOBAL BOND (EURO) FUND KLASSE A (ACC) EUR | EUR | 12,75 | 28.11. | | 0,39 | 3,57 | -3,26 | -11,27 | | A2JEBR | FRANKLIN TEMPLETON INVESTMENT FUNDS TEMPLETON EMERGING MARKETS LOCAL CURRENCY BOND FUND KLASSE W (ACC) USD | USD | 8,72 | 27.11. | | -0,46 | 3,56 | - | - | | A2JEBS | FRANKLIN TEMPLETON INVESTMENT FUNDS TEMPLETON EMERGING MARKETS LOCAL CURRENCY BOND FUND KLASSE W (MDIS) USD | USD | 5,06 | 27.11. | | -0,50 | 3,54 | - | - | | A0PG1E | FRANKLIN TEMPLETON INVESTMENT FUNDS TEMPLETON CHINA FUND KLASSE A (ACC) SGD | SGD | 6,47 | 27.11. | | 13,31 | 3,52 | - | - | | A113SC | TEMP.GL.TOTAL RET.FD.S USD | USD | 4,31 | 27.11. | | -1,97 | 3,51 | -6,17 | - | | 812944 | FRANKLIN TEMPLETON INVESTMENT FUNDS TEMPLETON GLOBAL BOND (EURO) FUND KLASSE A (YDIS) EUR | EUR | 5,62 | 28.11. | | 0,31 | 3,50 | -3,32 | -11,30 | | A1W5HF | FRANKLIN TEMPLETON INVESTMENT FUNDS TEMPLETON GLOBAL TOTAL RETURN FUND KLASSE S (ACC) USD | USD | 9,20 | 27.11. | | -1,92 | 3,49 | -6,22 | - | |
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