Gewahlte Kriterien:
Fondstyp: Rentenfonds
| Anlageregion: weltweit
|
Sortiert nach: Fund Name |
Suche ändern
Neue Suche |
| |
|
| Klicken Sie auf eine Spaltenüberschrift, um zu sortieren. |
|
216536 | SWISSCANTO (LU) BOND FUND VISION COMMITTED EUR AT | EUR | 97,24 | 24.10. |  | 1,64 | 1,53 | 11,37 | -10,94 |  | A2H637 | SWISSCANTO (LU) BOND FUND VISION COMMITTED EUR CT | EUR | 100,30 | 24.10. |  | 2,02 | 2,00 | 12,93 | -8,86 |  | A0M260 | SWISSCANTO (LU) BOND FUND VISION COMMITTED EUR DA | EUR | 102,03 | 24.10. |  | 2,08 | 2,08 | 13,19 | -8,51 |  | A2DF0V | SWISSCANTO (LU) BOND FUND VISION COMMITTED EUR DT | EUR | 123,60 | 24.10. |  | 2,09 | 2,08 | 13,19 | -8,51 |  | A1XEWJ | SWISSCANTO (LU) BOND FUND VISION COMMITTED EUR GT | EUR | 116,03 | 24.10. |  | 2,15 | 2,16 | 13,42 | -8,18 |  | A2PB0L | SWISSCANTO (LU) BOND FUND VISION COMMITTED EUR NT | EUR | 103,85 | 24.10. |  | 2,47 | 2,55 | 14,73 | -6,42 |  | 987154 | SWISSCANTO (LU) BOND FUND VISION COMMITTED GBP AA | GBP | 60,98 | 24.10. |  | 3,97 | 2,00 | 8,08 | -21,83 |  | 216537 | SWISSCANTO (LU) BOND FUND VISION COMMITTED GBP AT | GBP | 109,90 | 24.10. |  | 3,95 | 1,99 | 8,06 | -21,85 |  | A2H638 | SWISSCANTO (LU) BOND FUND VISION COMMITTED GBP CT | GBP | 92,82 | 24.10. |  | 4,35 | 2,47 | 9,57 | -20,02 |  | A1XEWK | SWISSCANTO (LU) BOND FUND VISION COMMITTED GBP GT | GBP | 113,99 | 24.10. |  | 4,47 | 2,62 | 10,06 | -19,43 |  | 986320 | SWISSCANTO (LU) BOND FUND VISION COMMITTED USD AA | USD | 115,37 | 24.10. |  | 6,99 | 5,53 | 17,91 | -3,70 |  | 216539 | SWISSCANTO (LU) BOND FUND VISION COMMITTED USD AT | USD | 191,52 | 24.10. |  | 7,00 | 5,53 | 17,90 | -3,70 |  | A2H9H9 | SWISSCANTO (LU) BOND FUND VISION COMMITTED USD CT | USD | 114,90 | 24.10. |  | 7,39 | 6,02 | 19,54 | -1,47 |  | A2DLQZ | SWISSCANTO (LU) BOND FUND VISION COMMITTED USD DT | USD | 118,24 | 24.10. |  | 7,47 | 6,10 | 19,82 | -1,08 |  | A1XEWL | SWISSCANTO (LU) BOND FUND VISION COMMITTED USD GT | USD | 123,13 | 24.10. |  | 7,53 | 6,17 | 20,07 | -0,73 |  | A2PB0M | SWISSCANTO (LU) BOND FUND VISION COMMITTED USD NT | USD | 119,72 | 24.10. |  | 7,87 | 6,58 | 21,46 | 1,17 |  | HAFX63 | SWITZERLAND INVEST - FIXED INCOME HIGH YIELD HAIG A | EUR | 8,27 | 27.10. |  | 4,50 | 6,83 | 20,11 | 29,26 |  | HAFX20 | SWITZERLAND INVEST - FIXED INCOME HIGH YIELD HAIG B | EUR | 21,14 | 27.10. |  | 4,60 | 6,88 | 20,25 | 29,45 |  | A3DEHX | SWITZERLAND INVEST - FIXED INCOME HIGH YIELD HAIG CH-HEDGED | CHF | 9,49 | 27.10. |  | 0,78 | 2,36 | 7,38 | - |  | A3D3ZS | SWITZERLAND INVEST - FIXED INCOME HIGH YIELD HAIG ISF | CHF | 9,66 | 27.10. |  | 1,29 | 2,95 | - | - |  |
|
|