Gewahlte Kriterien:
Fondstyp: Rentenfonds
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A1W6JZ | FRANKLIN EURO HIGH YIELD FUND - W (ACC) EUR | EUR | 15,20 | 15.1. |  | 0,46 | 5,92 | 23,48 | 16,74 |  | A1CU9C | FRANKLIN EUROPEAN CORPORATE BOND FUND - A (ACC) EUR | EUR | 13,59 | 15.1. |  | 0,37 | 3,35 | 12,41 | -4,16 |  | A1CU9D | FRANKLIN EUROPEAN CORPORATE BOND FUND - A (YDIS) EUR | EUR | 9,89 | 15.1. |  | 0,41 | 3,37 | 12,43 | -4,13 |  | A1CU9E | FRANKLIN EUROPEAN CORPORATE BOND FUND - I (ACC) EUR | EUR | 14,59 | 15.1. |  | 0,41 | 3,77 | 13,81 | -2,21 |  | A1CU9H | FRANKLIN EUROPEAN CORPORATE BOND FUND - N (YDIS) EUR | EUR | 9,14 | 15.1. |  | 0,44 | 2,68 | 10,12 | -7,39 |  | A113SR | FRANKLIN EUROPEAN CORPORATE BOND FUND - W (ACC) EUR | EUR | 11,67 | 15.1. |  | 0,43 | 3,73 | 13,63 | -2,42 |  | A2DYEB | FRANKLIN HIGH YIELD FUND - A (ACC) EUR | EUR | 14,22 | 15.1. |  | 1,72 | -4,24 | 18,01 | 26,06 |  | 694151 | FRANKLIN HIGH YIELD FUND - A (ACC) USD | USD | 25,35 | 15.1. |  | 0,48 | 7,96 | 26,62 | 21,23 |  | A1KC8C | FRANKLIN HIGH YIELD FUND - A (MDIS) AUD-H1 | AUD | 7,32 | 15.1. |  | 0,55 | 7,41 | 22,64 | 14,95 |  | 986132 | FRANKLIN HIGH YIELD FUND - A (MDIS) USD | USD | 5,31 | 15.1. |  | 0,55 | 8,09 | 26,67 | 21,27 |  | A410LR | FRANKLIN HIGH YIELD FUND - F (MDIS-PLUS) USD | USD | 9,83 | 15.1. |  | 0,31 | 6,59 | - | - |  | A0Q3ZS | FRANKLIN HIGH YIELD FUND - I (ACC) USD | USD | 28,00 | 15.1. |  | 0,47 | 8,61 | 28,97 | 25,11 |  | A2DYEC | FRANKLIN HIGH YIELD FUND - N (ACC) EUR | EUR | 13,55 | 15.1. |  | 1,65 | -4,78 | 15,91 | 22,40 |  | 937443 | FRANKLIN HIGH YIELD FUND - N (ACC) USD | USD | 24,93 | 15.1. |  | 0,40 | 7,32 | 24,40 | 17,71 |  | A2DN1W | FRANKLIN HIGH YIELD FUND - W (MDIS) USD | USD | 9,01 | 15.1. |  | 0,43 | 8,54 | 28,81 | 24,85 |  | A1CXWF | FRANKLIN HIGH YIELD FUND - Z (MDIS) USD | USD | 8,18 | 15.1. |  | 0,54 | 8,44 | 28,22 | 21,59 |  | A0X858 | FTGF WESTERN ASSET SHORT DURATION BLUE CHIP BOND FUND - PR CHF DIS (M) H | CHF | 97,98 | 15.1. |  | -0,16 | -0,93 | - | - |  | A0B9M4 | FTGF WESTERN ASSET US HIGH YIELD FUND - A USD DIS (D) | USD | 71,25 | 15.1. |  | 0,71 | 9,33 | 26,36 | 18,80 |  | HAFX51 | FU FONDS - BONDS MONTHLY INCOME I | EUR | 1,131,25 | 15.1. |  | 0,59 | 5,25 | - | - |  | HAFX9M | FU FONDS - BONDS MONTHLY INCOME P | EUR | 100,65 | 15.1. |  | 0,58 | 4,62 | 26,86 | 24,32 |  |
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