Gewahlte Kriterien:
Fondstyp: Rentenfonds
| Anlageregion: weltweit
|
Sortiert nach: Fund Name |
Suche ändern
Neue Suche |
| |
|
| Klicken Sie auf eine Spaltenüberschrift, um zu sortieren. |
|
A3C9KG | PGIM STRATEGIC INCOME FUND USD I DISTRIBUTION (Q) | USD | 92,33 | 30.10. |  | 7,36 | 7,18 | 20,20 | - |  | A3C9KH | PGIM STRATEGIC INCOME FUND USD P ACCUMULATION | USD | 106,07 | 30.10. |  | 7,23 | 7,02 | 25,36 | - |  | A2DKUH | PGIM US CORPORATE BOND FUND EUR-HEDGED A ACCUMULATION | EUR | 103,21 | 30.10. |  | 5,18 | 4,00 | 15,68 | -8,46 |  | A1422D | PGIM US CORPORATE BOND FUND EUR-HEDGED I ACCUMULATION | EUR | 1,139,93 | 30.10. |  | 5,62 | 4,51 | 17,41 | -6,16 |  | A2P17M | PGIM US CORPORATE BOND FUND EUR-HEDGED P ACCUMULATION | EUR | 95,44 | 30.10. |  | 5,49 | 4,36 | 16,91 | -6,83 |  | A3C634 | PGIM US CORPORATE BOND FUND GBP-HEDGED I DISTRIBUTION (Q) | GBP | 88,31 | 30.10. |  | 7,39 | 6,51 | 17,70 | -9,88 |  | A3C2X5 | PGIM US CORPORATE BOND FUND NOK-HEDGED A ACCUMULATION | NOK | 1,099,81 | 30.10. |  | 7,06 | 6,10 | 19,29 | - |  | A3C2X7 | PGIM US CORPORATE BOND FUND NOK-HEDGED I ACCUMULATION | NOK | 1,071,04 | 30.10. |  | 7,51 | 6,65 | 21,08 | - |  | A3C2X6 | PGIM US CORPORATE BOND FUND SEK-HEDGED A ACCUMULATION | SEK | 1,038,89 | 30.10. |  | 5,07 | 3,81 | 15,39 | - |  | A2DKUJ | PGIM US CORPORATE BOND FUND USD A ACCUMULATION | USD | 119,12 | 30.10. |  | 6,98 | 6,13 | 23,29 | 0,42 |  | A1422C | PGIM US CORPORATE BOND FUND USD I ACCUMULATION | USD | 1,388,76 | 30.10. |  | 7,43 | 6,66 | 25,13 | 2,98 |  | A1422E | PGIM US CORPORATE BOND FUND USD I DISTRIBUTION (Q) | USD | 88,21 | 30.10. |  | 7,43 | 6,66 | 19,65 | -9,07 |  | A2PH77 | PGIM US CORPORATE BOND FUND USD P ACCUMULATION | USD | 124,75 | 30.10. |  | 7,29 | 6,50 | 24,58 | 2,23 |  | A3C635 | PGIM US CORPORATE BOND FUND USD T ACCUMULATION | USD | 117,40 | 30.10. |  | 6,58 | 5,65 | 21,63 | - |  | A3C636 | PGIM US CORPORATE BOND FUND USD T DISTRIBUTION (M) | USD | 92,34 | 30.10. |  | 6,59 | 5,65 | 16,59 | - |  | A1KBEL | PHAIDROS FUNDS - KAIROS ANLEIHEN A | EUR | 138,63 | 31.10. |  | 1,69 | 3,24 | 34,41 | 14,27 |  | A1KBEM | PHAIDROS FUNDS - KAIROS ANLEIHEN B | EUR | 148,68 | 31.10. |  | 2,32 | 4,02 | 36,75 | 17,45 |  | A1KBEN | PHAIDROS FUNDS - KAIROS ANLEIHEN C | EUR | 119,51 | 31.10. |  | 1,96 | 3,60 | 34,87 | 14,63 |  | A1W1QE | PHAIDROS FUNDS - KAIROS ANLEIHEN D | EUR | 121,78 | 31.10. |  | 2,31 | 4,01 | 36,75 | 17,48 |  | A2DT0K | PHAIDROS FUNDS - KAIROS ANLEIHEN E | EUR | 101,74 | 31.10. |  | 2,46 | 4,20 | 37,40 | 19,01 |  |
|
|