Gewahlte Kriterien:
Fondstyp: Rentenfonds
| Unterkategorie: Anleihen gemischt
|
Sortiert nach: Fund Name |
Suche ändern
Neue Suche |
| |
|
| Klicken Sie auf eine Spaltenüberschrift, um zu sortieren. |
|
81144 | BOND S BEST-INVEST T | EUR | 107,30 | 27.10. |  | 1,49 | 1,79 | 11,50 | -5,23 |  | A2H6T0 | BSF EMERGING MARKETS SHORT DURATION BOND FUND A2 USD | USD | 148,25 | 27.10. |  | 11,17 | 13,12 | 45,49 | 34,47 |  | A2H6T3 | BSF EMERGING MARKETS SHORT DURATION BOND FUND D2 EUR HEDGED | EUR | 127,47 | 24.10. |  | 8,42 | 10,52 | 37,63 | - |  | A2H6T1 | BSF EMERGING MARKETS SHORT DURATION BOND FUND D2 USD | USD | 152,41 | 27.10. |  | 11,48 | 13,52 | 47,01 | 36,85 |  | A2JFZE | BSF EMERGING MARKETS SHORT DURATION BOND FUND E2 EUR | EUR | 150,67 | 27.10. |  | -1,31 | 4,67 | 23,21 | 33,16 |  | A2H6T4 | BSF EMERGING MARKETS SHORT DURATION BOND FUND E2 EUR HEDGED | EUR | 120,31 | 27.10. |  | 8,67 | 10,20 | 34,35 | 19,00 |  | A2JFZF | BSF EMERGING MARKETS SHORT DURATION BOND FUND E5 EUR | EUR | 110,72 | 27.10. |  | -1,32 | 4,66 | 23,22 | 33,18 |  | A2JFZG | BSF EMERGING MARKETS SHORT DURATION BOND FUND E5 EUR HEDGED | EUR | 88,07 | 27.10. |  | 8,66 | 10,19 | 34,32 | 19,00 |  | A2H6T5 | BSF EMERGING MARKETS SHORT DURATION BOND FUND I2 EUR HEDGED | EUR | 129,26 | 27.10. |  | 9,47 | 11,20 | 38,05 | 24,58 |  | A3DY38 | BSF EMERGING MARKETS SHORT DURATION BOND FUND I2 USD | USD | 142,60 | 27.10. |  | 11,55 | 13,60 | 42,60 | - |  | A2H6T2 | BSF EMERGING MARKETS SHORT DURATION BOND FUND X2 USD | USD | 158,15 | 27.10. |  | 11,92 | 14,05 | 49,10 | 40,09 |  | A2PE3W | CANDORIS ICAV - SIM US HIGH YIELD OPPORTUNITIES FUND EUR HEDGED INSTITUTIONAL (CAP) | EUR | 130,18 | 23.10. |  | 5,89 | 6,15 | 26,10 | 25,87 |  | A2PE3V | CANDORIS ICAV - SIM US HIGH YIELD OPPORTUNITIES FUND EUR HEDGED INSTITUTIONAL (DIS) | EUR | 86,50 | 23.10. |  | 5,86 | 6,13 | 26,07 | 25,80 |  | SIM004 | CANDORIS ICAV - SIM US HIGH YIELD OPPORTUNITIES FUND US DOLLAR INSTITUTIONAL (CAP) | USD | 131,60 | 23.10. |  | 7,78 | 8,45 | 34,29 | - |  | 812874 | CANDRIAM BD.CR.OPPORT.N EUR ACC | EUR | 193,85 | 24.10. |  | 1,87 | 2,53 | 14,16 | - |  | A2ALFA | CANDRIAM BD.CR.OPPORT.R CHF ACC | CHF | 164,53 | 24.10. |  | 0,71 | 1,09 | 9,94 | - |  | A2AP5H | CANDRIAM BD.EURO H.Y. R GBP ACC | GBP | 255,88 | 24.10. |  | 10,38 | 10,99 | 32,67 | - |  | 157465 | CANDRIAM BD.EURO S.T.N EUR ACC | EUR | 1,984,06 | 24.10. |  | 2,03 | 2,38 | 9,16 | - |  | A0LB6C | CANDRIAM BD.TOTAL RETURN N EUR ACC | EUR | 130,40 | 24.10. |  | 3,12 | 2,27 | 9,68 | - |  | A3DLFT | CANDRIAM BONDS CAPITAL SECURITIES, CLASSIQUE - CAPITALISATION | EUR | 182,00 | 24.10. |  | - | - | - | - |  |
|
|