Fonds Suchergebnisse
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Fondstyp: Gemischter Fonds | Anlageregion: weltweit
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  WknName   Kurs Datum ytd 1jahr 3jahre 5jahre 

A40V81

PGIM MULTI-SECTOR CREDIT FUND CHF-HEDGED I ACCUMULATION

CHF

 104,50

30.1.

up

 0,24

 3,21

 -  

 -  

chart detail

A4044W

PGIM MULTI-SECTOR CREDIT FUND EUR-HEDGED A ACCUMULATION

EUR

 110,32

30.1.

up

 0,36

 4,92

 -  

 -  

chart detail

A2ARGF

PGIM MULTI-SECTOR CREDIT FUND EUR-HEDGED I ACCUMULATION

EUR

 122,54

30.1.

up

 0,41

 5,56

 19,74  

 16,15  

chart detail

A3C65V

PGIM MULTI-SECTOR CREDIT FUND EUR-HEDGED P ACCUMULATION

EUR

 116,71

30.1.

up

 0,40

 5,40

 19,21  

 15,29  

chart detail

A3EA7R

PGIM MULTI-SECTOR CREDIT FUND EUR-HEDGED P DISTRIBUTION (Q)

EUR

 104,01

30.1.

up

 0,40

 5,40

 -  

 -  

chart detail

A40VAC

PGIM MULTI-SECTOR CREDIT FUND GBP HEDGED I ACCUMULATION

GBP

 110,33

30.1.

up

 0,56

 7,66

 -  

 -  

chart detail

A3C65U

PGIM MULTI-SECTOR CREDIT FUND GBP-HEDGED I DISTRIBUTION (Q)

GBP

 93,28

30.1.

up

 0,56

 7,66

 19,05  

 9,63  

chart detail

A3D8CW

PGIM MULTI-SECTOR CREDIT FUND USD A ACCUMULATION

USD

 123,62

30.1.

up

 0,50

 7,11

 23,62  

 -  

chart detail

A40VBL

PGIM MULTI-SECTOR CREDIT FUND USD A DISTRIBUTION (M)

USD

 102,18

30.1.

down

 0,18

 6,76

 -  

 -  

chart detail

A2ARGH

PGIM MULTI-SECTOR CREDIT FUND USD I ACCUMULATION

USD

 155,63

30.1.

up

 0,56

 7,76

 26,58  

 26,71  

chart detail

A2ARGJ

PGIM MULTI-SECTOR CREDIT FUND USD I DISTRIBUTION (Q)

USD

 107,12

30.1.

up

 0,56

 7,76

 26,59  

 -  

chart detail

A3DQ3L

PGIM MULTI-SECTOR CREDIT FUND USD P DISTRIBUTION (Q)

USD

 107,04

30.1.

up

 0,54

 7,65

 26,09  

 -  

chart detail

A40VCP

PGIM MULTI-SECTOR CREDIT FUND USD R ACCUMULATION

USD

 108,69

30.1.

up

 0,50

 6,78

 -  

 -  

chart detail

A0MN91

PHAIDROS FUNDS - BALANCED A

EUR

 239,49

2.2.

down

 1,58

 -1,97

 24,83  

 15,62  

chart detail

A0MN92

PHAIDROS FUNDS - BALANCED B

EUR

 240,61

2.2.

down

 1,62

 -1,05

 27,53  

 20,34  

chart detail

A0X9MW

PHAIDROS FUNDS - BALANCED C

EUR

 268,14

2.2.

down

 1,62

 -1,42

 26,96  

 19,25  

chart detail

A1JVMV

PHAIDROS FUNDS - BALANCED D

EUR

 209,74

2.2.

down

 1,57

 -1,97

 24,81  

 15,65  

chart detail

A1W1QB

PHAIDROS FUNDS - BALANCED E

EUR

 206,55

2.2.

down

 1,63

 -1,37

 26,99  

 19,22  

chart detail

A1W82T

PHAIDROS FUNDS - BALANCED F

EUR

 223,62

2.2.

down

 1,63

 -1,10

 27,78  

 20,66  

chart detail

A2QSNH

PHAIDROS FUNDS - BALANCED G

EUR

 152,28

2.2.

down

 1,81

 -1,86

 27,69  

 19,17  

chart detail
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