Gewahlte Kriterien:
Fondstyp: Rentenfonds
| Anlageregion: weltweit
|
Sortiert nach: Fund Name |
Suche ändern
Neue Suche |
| |
|
| Klicken Sie auf eine Spaltenüberschrift, um zu sortieren. |
|
A404V5 | LAZARD GLOBAL CONVERTIBLES RECOVERY FUND BP ACC USD | USD | 119,01 | 10.2. |  | 1,76 | 13,94 | 27,58 | - |  | A404V3 | LAZARD GLOBAL CONVERTIBLES RECOVERY FUND C ACC EUR | EUR | 127,15 | 10.2. |  | 0,40 | -0,47 | 17,43 | 23,68 |  | A2QQVK | LAZARD GLOBAL CONVERTIBLES RECOVERY FUND C ACC EUR HEDGED | EUR | 126,34 | 10.2. |  | 1,36 | 9,04 | 21,55 | 13,54 |  | A40V0Y | LAZARD GLOBAL CONVERTIBLES RECOVERY FUND C DIST EUR HEDGED | EUR | 109,66 | 10.2. |  | 1,36 | 9,05 | - | - |  | A2QBQ8 | LAZARD GLOBAL CONVERTIBLES RECOVERY FUND EA ACC EUR HEDGED | EUR | 129,94 | 10.2. |  | 1,41 | 9,50 | 23,05 | 15,88 |  | A3D4H6 | LAZARD HIGH QUALITY INCOME BOND FUND A | EUR | 104,22 | 10.2. |  | 0,59 | 2,39 | - | - |  | A1CU8C | LBBW PRO-FUND CREDIT I | EUR | 117,03 | 10.2. |  | 0,33 | 1,84 | 6,21 | 6,75 |  | A0MU8M | LBBW RENTAMAX I | EUR | 106,68 | 9.2. |  | 0,99 | 3,05 | 14,59 | 0,72 |  | 532614 | LBBW RENTAMAX R | EUR | 64,75 | 9.2. |  | 0,97 | 2,79 | 13,73 | -0,53 |  | A0X97D | LBBW RENTEN ESG I | EUR | 97,18 | 9.2. |  | 0,96 | 1,58 | 11,31 | -5,42 |  | A0X97K | LBBW RENTEN ESG R | EUR | 47,77 | 9.2. |  | 0,93 | 1,33 | 10,46 | -6,60 |  | A2QDRK | LBBW RENTEN SHORT TERM ESG I | EUR | 101,94 | 9.2. |  | 0,53 | 2,67 | 9,97 | 7,34 |  | 848068 | LBBW RENTEN SHORT TERM ESG R | EUR | 40,30 | 9.2. |  | 0,50 | 2,38 | 9,32 | 6,59 |  | A40QPK | LBPAM ISR ABSOLUTE RETURN CREDIT GP | EUR | 124,65 | 10.2. |  | - | - | - | - |  | A3C8YX | LBPAM ISR ABSOLUTE RETURN CREDIT I | EUR | 12,746,92 | 10.2. |  | - | - | - | - |  | A3DTDE | LBPAM ISR ABSOLUTE RETURN CREDIT L | EUR | 116,89 | 10.2. |  | - | - | - | - |  | A3DUBG | LBPAM ISR CONVERTIBLES MONDE I | EUR | 10,993,00 | 10.2. |  | - | - | - | - |  | A40QPP | LBPAM ISR CONVERTIBLES MONDE R | EUR | 106,63 | 10.2. |  | - | - | - | - |  | A40HGD | LF - DYNAMIC YIELD OPPORTUNITIES - ANTEILKLASSE R | EUR | 100,79 | 10.2. |  | 0,44 | 2,94 | - | - |  | A40HGF | LF - DYNAMIC YIELD OPPORTUNITIES - ANTEILKLASSE S | EUR | 101,81 | 10.2. |  | 0,55 | 3,49 | - | - |  |
|
|