Gewahlte Kriterien: 
Fondstyp: Rentenfonds
 | Anlageregion: weltweit  
 
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	A0M1CX  | 	LO FUNDS - CONVERTIBLE BOND, (EUR) NA  | 	EUR  | 	 23,77  | 	31.10.  | 	  	 | 	 15,89  | 	 16,53  | 	 31,27    | 	 17,15    | 	  |  	A0Q0GC  | 	LO FUNDS - CONVERTIBLE BOND, (EUR) ND  | 	EUR  | 	 22,66  | 	31.10.  | 	  	 | 	 15,89  | 	 16,53  | 	 31,27    | 	 17,15    | 	  |  	163742  | 	LO FUNDS - CONVERTIBLE BOND, (EUR) PA  | 	EUR  | 	 20,82  | 	31.10.  | 	  	 | 	 15,14  | 	 15,62  | 	 28,23    | 	 12,67    | 	  |  	163743  | 	LO FUNDS - CONVERTIBLE BOND, (EUR) PD  | 	EUR  | 	 20,02  | 	31.10.  | 	  	 | 	 15,14  | 	 15,62  | 	 28,23    | 	 12,67    | 	  |  	A0Q0GD  | 	LO FUNDS - CONVERTIBLE BOND, (EUR) RA  | 	EUR  | 	 19,00  | 	31.10.  | 	  	 | 	 14,66  | 	 15,05  | 	 26,32    | 	 9,90    | 	  |  	A2DPH6  | 	LO FUNDS - CONVERTIBLE BOND, SYST. NAV HDG, (CHF) IA  | 	CHF  | 	 26,30  | 	31.10.  | 	  	 | 	 13,71  | 	 13,81  | 	 22,56    | 	 8,82    | 	  |  	A1J96G  | 	LO FUNDS - CONVERTIBLE BOND, SYST. NAV HDG, (CHF) MA  | 	CHF  | 	 12,64  | 	31.10.  | 	  	 | 	 13,48  | 	 13,56  | 	 21,68    | 	 7,56    | 	  |  	A1J96H  | 	LO FUNDS - CONVERTIBLE BOND, SYST. NAV HDG, (CHF) MD  | 	CHF  | 	 30,50  | 	31.10.  | 	  	 | 	 13,48  | 	 13,56  | 	 21,68    | 	 -    | 	  |  	A1JM7G  | 	LO FUNDS - CONVERTIBLE BOND, SYST. NAV HDG, (CHF) NA  | 	CHF  | 	 26,21  | 	31.10.  | 	  	 | 	 13,67  | 	 13,77  | 	 22,37    | 	 8,63    | 	  |  	A1JM7H  | 	LO FUNDS - CONVERTIBLE BOND, SYST. NAV HDG, (CHF) ND  | 	CHF  | 	 33,29  | 	31.10.  | 	  	 | 	 13,66  | 	 13,78  | 	 22,39    | 	 -    | 	  |  	A1JM7E  | 	LO FUNDS - CONVERTIBLE BOND, SYST. NAV HDG, (CHF) PA  | 	CHF  | 	 23,93  | 	31.10.  | 	  	 | 	 12,92  | 	 12,92  | 	 19,58    | 	 4,49    | 	  |  	A1JM7F  | 	LO FUNDS - CONVERTIBLE BOND, SYST. NAV HDG, (CHF) PD  | 	CHF  | 	 28,42  | 	31.10.  | 	  	 | 	 12,92  | 	 12,88  | 	 19,57    | 	 4,46    | 	  |  	A1JM7L  | 	LO FUNDS - CONVERTIBLE BOND, SYST. NAV HDG, (CHF) SA  | 	CHF  | 	 37,82  | 	31.10.  | 	  	 | 	 14,40  | 	 14,67  | 	 25,31    | 	 13,00    | 	  |  	A1J96J  | 	LO FUNDS - CONVERTIBLE BOND, SYST. NAV HDG, (GBP) MA  | 	GBP  | 	 13,59  | 	30.10.  | 	  	 | 	 16,84  | 	 16,94  | 	 35,48    | 	 22,42    | 	  |  	A1J96K  | 	LO FUNDS - CONVERTIBLE BOND, SYST. NAV HDG, (GBP) MD  | 	GBP  | 	 13,65  | 	31.10.  | 	  	 | 	 17,39  | 	 18,31  | 	 36,12    | 	 22,78    | 	  |  	A2AL46  | 	LO FUNDS - CONVERTIBLE BOND, SYST. NAV HDG, (GBP) NA  | 	GBP  | 	 13,91  | 	31.10.  | 	  	 | 	 17,62  | 	 18,52  | 	 36,96    | 	 24,02    | 	  |  	A2H5D5  | 	LO FUNDS - CONVERTIBLE BOND, SYST. NAV HDG, (GBP) ND  | 	GBP  | 	 13,87  | 	31.10.  | 	  	 | 	 17,63  | 	 18,55  | 	 36,95    | 	 -    | 	  |  	A2AL45  | 	LO FUNDS - CONVERTIBLE BOND, SYST. NAV HDG, (GBP) PA  | 	GBP  | 	 12,90  | 	31.10.  | 	  	 | 	 16,91  | 	 17,66  | 	 33,77    | 	 19,29    | 	  |  	A1W77J  | 	LO FUNDS - CONVERTIBLE BOND, SYST. NAV HDG, (USD) MA  | 	USD  | 	 16,99  | 	31.10.  | 	  	 | 	 17,83  | 	 18,74  | 	 38,70    | 	 26,89    | 	  |  	A1W77K  | 	LO FUNDS - CONVERTIBLE BOND, SYST. NAV HDG, (USD) MD  | 	USD  | 	 38,91  | 	31.10.  | 	  	 | 	 17,83  | 	 18,75  | 	 38,73    | 	 -    | 	  |  
             
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