Gewahlte Kriterien:
Fondstyp: Rentenfonds
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A1J8FL | SCHRODER INTERNATIONAL SELECTION FUND GLOBAL CORPORATE BOND C DISTRIBUTION EUR HEDGED AV | EUR | 118,00 | 29.11. | | 3,72 | 7,86 | -7,93 | -2,53 | | 986244 | SCHRODER INTERNATIONAL SELECTION FUND GLOBAL CORPORATE BOND C DISTRIBUTION USD AV | USD | 6,27 | 29.11. | | 5,42 | 9,86 | -1,89 | 6,69 | | A0YA0M | SCHRODER INTERNATIONAL SELECTION FUND GLOBAL CORPORATE BOND I ACCUMULATION EUR HEDGED | EUR | 184,89 | 29.11. | | 4,31 | 8,53 | -6,17 | 0,52 | | 540968 | SCHRODER INTERNATIONAL SELECTION FUND GLOBAL CORPORATE BOND I ACCUMULATION USD | USD | 16,76 | 29.11. | | 5,98 | 10,50 | -0,16 | 9,84 | | A2QE14 | SCHRODER INTERNATIONAL SELECTION FUND GLOBAL CORPORATE BOND I THESAURIEREND CHF ABSICHERUNG | CHF | 89,55 | 29.11. | | 1,63 | 5,49 | -10,80 | - | | A140AS | SCHRODER INTERNATIONAL SELECTION FUND GLOBAL CORPORATE BOND Z ACCUMULATION EUR HEDGED | EUR | 171,58 | 29.11. | | 3,82 | 7,97 | -7,91 | -2,48 | | A140AQ | SCHRODER INTERNATIONAL SELECTION FUND GLOBAL CORPORATE BOND Z ACCUMULATION USD | USD | 14,74 | 29.11. | | 5,50 | 9,91 | -1,68 | 7,11 | | A140AW | SCHRODER INTERNATIONAL SELECTION FUND GLOBAL CORPORATE BOND Z DISTRIBUTION AUD HEDGED MV | AUD | 113,68 | 29.11. | | 4,48 | 8,70 | - | - | | A140AR | SCHRODER INTERNATIONAL SELECTION FUND GLOBAL CORPORATE BOND Z DISTRIBUTION USD MF | USD | 6,23 | 29.11. | | 5,49 | 9,94 | - | - | | A3D6WD | SCHRODER INTERNATIONAL SELECTION FUND SUSTAINABLE US DOLLAR CORPORATE BOND A ACCUMULATION USD | USD | 109,82 | 29.11. | | 3,27 | 8,04 | - | - | | A1H59S | SCHRODER ISF EURO CORP.BD.A ACC CHF H | CHF | 132,22 | 29.11. | | 3,73 | 6,96 | -7,30 | -4,90 | | A1H59T | SCHRODER ISF EURO CORP.BD.C ACC CHF H | CHF | 139,75 | 29.11. | | 4,11 | 7,38 | -6,19 | -2,98 | | A2PRND | SCHRODER ISF EURO CORP.BD.C ACC USD H | USD | 202,84 | 29.11. | | 8,16 | 12,04 | 4,43 | 11,43 | | A1435A | SCHRODER ISF EURO CORP.BD.C DIS GBP | GBP | 15,25 | 29.11. | | 2,23 | 6,17 | -2,72 | - | | A2ABBM | SCHRODER ISF EURO CORP.BD.C DIS GBP H | GBP | 14,54 | 29.11. | | 7,95 | 11,75 | 2,76 | - | | A1CXEG | SCHRODER ISF EURO CORP.BD.C DIS JPY H | JPY | 10,016,17 | 29.11. | | 2,84 | 5,84 | -8,62 | - | | A116F4 | SCHRODER ISF EURO CORP.BD.IZ ACC EUR | EUR | 26,70 | 29.11. | | 6,72 | 10,35 | -1,05 | 3,55 | | A2P1Z6 | SCHRODER ISF EURO CORP.BD.X ACC EUR | EUR | 103,78 | 29.11. | | 6,99 | 10,66 | -0,21 | - | | A0RD9B | SCHRODER ISF EURO CORP.BD.X DIS EUR | EUR | 140,27 | 29.11. | | 7,06 | 10,68 | -0,15 | - | | A140BT | SCHRODER ISF EURO CORP.BD.Z ACC CHF H | CHF | 140,84 | 29.11. | | 4,19 | 7,46 | -5,98 | - | |
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