Gewahlte Kriterien: 
Fondstyp: Rentenfonds
 | Anlageregion: weltweit  
 
 | 
                 Sortiert nach: Fund Name | 
				Suche ändern 
Neue Suche | 
           
	| 					 |  
                   
             | 
         
		 
                
                  
                     
                      | Klicken Sie auf eine Spaltenüberschrift, um zu sortieren. | 
                     
                   
                 | 
         
		 
           
            
              
                  
 
	A3C90E  | 	LAZARD GLOBAL CONVERTIBLES RECOVERY FUND A ACC CHF HEDGED  | 	CHF  | 	 113,75  | 	31.10.  | 	  	 | 	 6,10  | 	 7,10  | 	 19,91    | 	 8,33    | 	  |  	A2QBQ9  | 	LAZARD GLOBAL CONVERTIBLES RECOVERY FUND A ACC EUR HEDGED  | 	EUR  | 	 121,07  | 	31.10.  | 	  	 | 	 8,14  | 	 9,58  | 	 28,08    | 	 24,14    | 	  |  	A2QBQ7  | 	LAZARD GLOBAL CONVERTIBLES RECOVERY FUND A DIST EUR HEDGED  | 	EUR  | 	 120,28  | 	31.10.  | 	  	 | 	 8,13  | 	 9,58  | 	 28,08    | 	 24,11    | 	  |  	A2QK4F  | 	LAZARD GLOBAL CONVERTIBLES RECOVERY FUND A DIST GBP HEDGED  | 	GBP  | 	 116,41  | 	31.10.  | 	  	 | 	 9,99  | 	 11,75  | 	 32,67    | 	 -    | 	  |  	A2QKYT  | 	LAZARD GLOBAL CONVERTIBLES RECOVERY FUND BP ACC EUR HEDGED  | 	EUR  | 	 116,77  | 	31.10.  | 	  	 | 	 7,31  | 	 8,58  | 	 24,66    | 	 18,73    | 	  |  	A404V5  | 	LAZARD GLOBAL CONVERTIBLES RECOVERY FUND BP ACC USD  | 	USD  | 	 114,38  | 	31.10.  | 	  	 | 	 11,90  | 	 12,03  | 	 37,11    | 	 -    | 	  |  	A404V3  | 	LAZARD GLOBAL CONVERTIBLES RECOVERY FUND C ACC EUR  | 	EUR  | 	 125,84  | 	31.10.  | 	  	 | 	 1,14  | 	 6,32  | 	 20,47    | 	 -    | 	  |  	A2QQVK  | 	LAZARD GLOBAL CONVERTIBLES RECOVERY FUND C ACC EUR HEDGED  | 	EUR  | 	 122,49  | 	31.10.  | 	  	 | 	 8,10  | 	 9,54  | 	 28,02    | 	 24,14    | 	  |  	A40V0Y  | 	LAZARD GLOBAL CONVERTIBLES RECOVERY FUND C DIST EUR HEDGED  | 	EUR  | 	 106,31  | 	31.10.  | 	  	 | 	 8,11  | 	 -  | 	 -    | 	 -    | 	  |  	A2QBQ8  | 	LAZARD GLOBAL CONVERTIBLES RECOVERY FUND EA ACC EUR HEDGED  | 	EUR  | 	 125,84  | 	31.10.  | 	  	 | 	 8,48  | 	 10,00  | 	 29,61    | 	 26,67    | 	  |  	A3D4H6  | 	LAZARD HIGH QUALITY INCOME BOND FUND A  | 	EUR  | 	 103,87  | 	31.10.  | 	  	 | 	 2,87  | 	 3,55  | 	 -    | 	 -    | 	  |  	A1CU8C  | 	LBBW PRO-FUND CREDIT I  | 	EUR  | 	 116,10  | 	31.10.  | 	  	 | 	 1,68  | 	 2,85  | 	 6,50    | 	 6,48    | 	  |  	A0MU8M  | 	LBBW RENTAMAX I  | 	EUR  | 	 109,53  | 	31.10.  | 	  	 | 	 3,76  | 	 4,98  | 	 18,25    | 	 1,49    | 	  |  	532614  | 	LBBW RENTAMAX R  | 	EUR  | 	 66,36  | 	31.10.  | 	  	 | 	 3,54  | 	 4,71  | 	 17,38    | 	 0,22    | 	  |  	A0X97D  | 	LBBW RENTEN ESG I  | 	EUR  | 	 97,02  | 	31.10.  | 	  	 | 	 2,40  | 	 3,24  | 	 13,80    | 	 -4,98    | 	  |  	A0X97K  | 	LBBW RENTEN ESG R  | 	EUR  | 	 47,73  | 	31.10.  | 	  	 | 	 2,18  | 	 2,98  | 	 12,98    | 	 -6,16    | 	  |  	A2QDRK  | 	LBBW RENTEN SHORT TERM ESG I  | 	EUR  | 	 101,26  | 	31.10.  | 	  	 | 	 2,52  | 	 3,35  | 	 10,59    | 	 -    | 	  |  	848068  | 	LBBW RENTEN SHORT TERM ESG R  | 	EUR  | 	 40,06  | 	31.10.  | 	  	 | 	 2,25  | 	 3,05  | 	 10,00    | 	 6,08    | 	  |  	A2PB6G  | 	LF - SUSTAINABLE YIELD OPPORTUNITIES - ANTEILKLASSE I  | 	EUR  | 	 1,024,61  | 	31.10.  | 	  	 | 	 4,79  | 	 6,23  | 	 26,58    | 	 21,86    | 	  |  	A2P0VA  | 	LF - SUSTAINABLE YIELD OPPORTUNITIES - ANTEILKLASSE I2  | 	EUR  | 	 1,005,31  | 	31.10.  | 	  	 | 	 5,32  | 	 6,88  | 	 28,19    | 	 -    | 	  |  
             
           | 
         
      
 |