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Gewahlte Kriterien:
Fondstyp: Rentenfonds
| Unterkategorie: Anleihen gemischt
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A3ETDL | WILLIAM BLAIR SICAV EMERGING MARKETS DEBT HARD CURRENCY FUND - S USD ACC | USD | 128,58 | 27.2. |  | 2,73 | 14,91 | - | - |  | A3ETC9 | WILLIAM BLAIR SICAV EMERGING MARKETS DEBT HARD CURRENCY FUND - SH CHF | CHF | 109,92 | 27.2. |  | 2,04 | - | - | - |  | A3ETC6 | WILLIAM BLAIR SICAV EMERGING MARKETS DEBT HARD CURRENCY FUND - SH EUR | EUR | 121,98 | 27.2. |  | 2,43 | 12,26 | - | - |  | A2PZV8 | WILLIAM BLAIR SICAV EMERGING MARKETS DEBT HARD CURRENCY FUND - Z USD | USD | 122,88 | 27.2. |  | 2,78 | 15,23 | 45,58 | - |  | A2PZW8 | WILLIAM BLAIR SICAV EMERGING MARKETS DEBT LOCAL CURRENCY FUND - A USD | USD | 130,06 | 27.2. |  | 4,05 | 21,67 | 35,99 | 21,54 |  | A2PZW4 | WILLIAM BLAIR SICAV EMERGING MARKETS DEBT LOCAL CURRENCY FUND - I USD | USD | 130,02 | 27.2. |  | 4,05 | 21,66 | 35,96 | 21,50 |  | A2PZUJ | WILLIAM BLAIR SICAV EMERGING MARKETS DEBT LOCAL CURRENCY FUND - J USD | USD | 133,38 | 27.2. |  | 4,12 | 22,21 | 37,80 | 24,26 |  | A2PZVF | WILLIAM BLAIR SICAV EMERGING MARKETS DEBT LOCAL CURRENCY FUND - R HEDGED EUR | EUR | 118,08 | 27.2. |  | 3,74 | 19,10 | 28,36 | 11,01 |  | A2PZVV | WILLIAM BLAIR SICAV EMERGING MARKETS DEBT LOCAL CURRENCY FUND - R HEDGED GBP | GBP | 127,07 | 27.2. |  | 4,10 | 21,42 | 34,77 | 19,02 |  | A2PZVC | WILLIAM BLAIR SICAV EMERGING MARKETS DEBT LOCAL CURRENCY FUND - R HEDGED USD | CHF | 109,67 | 27.2. |  | 3,45 | 16,58 | 20,07 | 3,24 |  | A2PZVL | WILLIAM BLAIR SICAV EMERGING MARKETS DEBT LOCAL CURRENCY FUND - R USD | USD | 133,27 | 27.2. |  | 4,13 | 22,21 | 37,80 | 24,26 |  | A3ETDN | WILLIAM BLAIR SICAV EMERGING MARKETS DEBT LOCAL CURRENCY FUND - S USD | USD | 129,35 | 27.2. |  | 4,21 | 22,82 | - | - |  | A2PZVB | WILLIAM BLAIR SICAV EMERGING MARKETS DEBT LOCAL CURRENCY FUND - Z USD | USD | 127,21 | 27.2. |  | 4,22 | 22,93 | - | - |  | A1CSJ8 | WWK SELECT EURORENTENFONDS B | EUR | 11,92 | 2.3. |  | 1,62 | 1,97 | 11,19 | -4,94 |  | A0RGZ9 | XAIA CREDIT BASIS - ANTEILKLASSE I | EUR | 1,120,43 | 27.2. |  | 0,40 | 2,58 | 14,94 | 17,56 |  | A1W1QP | XAIA CREDIT BASIS - ANTEILKLASSE IT | EUR | 1,332,58 | 27.2. |  | 0,40 | 2,58 | 14,95 | 17,58 |  | A117HV | ZEUS INCOME PRESERVATION FUND CLASS I | EUR | 1,002,46 | 27.2. |  | 0,48 | 1,46 | 9,66 | -1,58 |  | A2GYR | ZUKUNFTSSTRATEGIE ANLEIHEN RETAIL | EUR | 10,08 | 2.3. |  | 1,20 | 3,07 | 14,81 | -3,17 |  |
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