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  WknName   Kurs Datum ytd 1jahr 3jahre 5jahre 

A2APQC

MUZINICH MARKET DURATION ENHANCEDYIELD FUND HEDGED EUR ACCUMULATION P UNITS

EUR

 104,60

10.2.

up

 0,36

 3,48

 9,75  

 -1,53  

chart detail

A0Q0AJ

MUZINICH MARKET DURATION ENHANCEDYIELD FUND HEDGED EURO ACCUMULATION A UNITS

EUR

 146,88

10.2.

up

 0,44

 4,21

 12,07  

 1,96  

chart detail

A2JAD5

MUZINICH MARKET DURATION ENHANCEDYIELD FUND HEDGED EURO ACCUMULATION H UNITS

EUR

 109,38

10.2.

up

 0,46

 4,42

 12,75  

 3,00  

chart detail

A2DM41

MUZINICH MARKET DURATION ENHANCEDYIELD FUND HEDGED EURO ACCUMULATION R UNITS

EUR

 107,47

10.2.

up

 0,39

 3,79

 10,74  

 -0,06  

chart detail

A3C5ZR

MUZINICH MARKET DURATION ENHANCEDYIELD FUND HEDGED EURO INCOME H UNITS

EUR

 87,86

10.2.

up

 0,47

 4,42

 7,37  

 -7,11  

chart detail

A14MU7

MUZINICH MARKET DURATION ENHANCEDYIELD FUND HEDGED EURO INCOME R UNITS

EUR

 87,74

10.2.

up

 0,39

 3,80

 6,40  

 -7,93  

chart detail

A2AC87

MUZINICH MARKET DURATION ENHANCEDYIELD FUND HEDGED GBP INCOME S UNITS

GBP

 103,53

10.2.

up

 0,67

 6,70

 13,01  

 0,04  

chart detail

A3C5ZS

MUZINICH MARKET DURATION ENHANCEDYIELD FUND HEDGED USD ACCUMULATION H UNITS

USD

 123,84

10.2.

up

 0,66

 6,78

 19,62  

 12,72  

chart detail

A416WZ

MUZINICH MARKET DURATION ENHANCEDYIELD FUND HEDGED USD ACCUMULATION S UNITS

USD

 113,86

10.2.

up

 0,67

 6,87

 -  

 -  

chart detail

A14MU8

MUZINICH MARKET DURATION ENHANCEDYIELD FUND HEDGED USD INCOME R UNITS

USD

 107,32

10.2.

up

 0,59

 6,11

 12,88  

 -  

chart detail

A14MU6

MUZINICH MARKET DURATION ENHANCEDYIELD FUND HEDGED USD INCOME S UNITS

USD

 107,54

10.2.

up

 0,66

 6,85

 14,07  

 -  

chart detail

A2QQ9B

NATIXIS INTERNATIONAL FUNDS (DUBLIN) I - LOOMIS SAYLES EURO HIGH YIELD FUND - I/A (EUR)

EUR

 11,91

9.2.

up

 0,93

 -

 -  

 -  

chart detail

A2QQ9F

NATIXIS INTERNATIONAL FUNDS (DUBLIN) I - LOOMIS SAYLES EURO HIGH YIELD FUND - S2/A (EUR)

EUR

 11,56

9.2.

up

 0,96

 -

 -  

 -  

chart detail

A2QQ9H

NATIXIS INTERNATIONAL FUNDS (DUBLIN) I LOOMIS SAYLES EURO CREDIT FUND I/A (EUR)

EUR

 10,18

9.2.

up

 0,89

 2,93

 15,42  

 -  

chart detail

A2QQ9J

NATIXIS INTERNATIONAL FUNDS (DUBLIN) I LOOMIS SAYLES EURO CREDIT FUND I/D (EUR)

EUR

 10,76

9.2.

up

 0,93

 2,93

 -  

 -  

chart detail

A40VAB

NATIXIS INTERNATIONAL FUNDS (DUBLIN) I LOOMIS SAYLES EURO CREDIT FUND J-F/A (EUR)

EUR

 10,63

9.2.

up

 0,85

 -

 -  

 -  

chart detail

A40SR0

NATIXIS INTERNATIONAL FUNDS (DUBLIN) I LOOMIS SAYLES EURO CREDIT FUND J-S4/A (EUR)

EUR

 10,66

9.2.

no change

 0,85

 -

 -  

 -  

chart detail

A40SR3

NATIXIS INTERNATIONAL FUNDS (DUBLIN) I LOOMIS SAYLES EURO CREDIT FUND J-S4/DM (EUR)

EUR

 10,37

9.2.

up

 0,86

 -

 -  

 -  

chart detail

A3C6ML

NATIXIS INTERNATIONAL FUNDS (DUBLIN) I LOOMIS SAYLES EURO CREDIT FUND R/A (EUR)

EUR

 10,00

9.2.

no change

 0,81

 2,46

 -  

 -  

chart detail

A3C6MM

NATIXIS INTERNATIONAL FUNDS (DUBLIN) I LOOMIS SAYLES EURO CREDIT FUND RE/A (EUR)

EUR

 9,89

9.2.

up

 0,82

 2,28

 -  

 -  

chart detail
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