 |
Gewahlte Kriterien:
Fondstyp: Rentenfonds
| Anlageregion: weltweit
|
Sortiert nach: Fund Name |
Suche ändern
Neue Suche |
| |
|
| Klicken Sie auf eine Spaltenüberschrift, um zu sortieren. |
|
A40YP6 | BARINGS GLOBAL SENIOR SECURED BOND FUND - TRANCHE I GBP ACCUMULATION | GBP | 129,94 | 24.10. |  | 5,75 | - | - | - |  | BA0029 | BARINGS GLOBAL SENIOR SECURED BOND FUND - TRANCHE I GBP DISTRIBUTION | GBP | 95,47 | 24.10. |  | 6,59 | 7,73 | 34,16 | 19,78 |  | A40VEW | BARINGS GLOBAL SENIOR SECURED BOND FUND - TRANCHE I RMB DISTRIBUTION MONTHLY | CNY | 103,01 | 24.10. |  | 5,13 | 6,21 | - | - |  | A1W6AA | BARINGS GLOBAL SENIOR SECURED BOND FUND - TRANCHE I USD ACCUMULATION | USD | 187,73 | 24.10. |  | 6,79 | 7,92 | 35,88 | 31,64 |  | A3EYX2 | BARINGS GLOBAL SENIOR SECURED BOND FUND - TRANCHE I USD DISTRIBUTION | USD | 96,23 | 24.10. |  | 6,77 | 7,91 | 35,87 | 22,39 |  | BA0033 | BARINGS GLOBAL SENIOR SECURED BOND FUND - TRANCHE I USD DISTRIBUTION MONTHLY | USD | 103,41 | 24.10. |  | 6,78 | 7,92 | - | - |  | A41A6K | BARINGS GLOBAL SENIOR SECURED BOND FUND - TRANCHE I USD MONTHLY DISTRIBUTION | USD | 101,72 | 24.10. |  | 6,96 | - | - | - |  | A3EDYV | BARINGS GLOBAL SENIOR SECURED BOND FUND - TRANCHE IA USD ACCUMULATION | USD | 128,64 | 24.10. |  | 5,80 | - | - | - |  | A3EDYW | BARINGS GLOBAL SENIOR SECURED BOND FUND - TRANCHE IA USD DISTRIBUTION | USD | 96,38 | 24.10. |  | 6,61 | 7,70 | 35,07 | 21,65 |  | A41A6P | BARINGS GLOBAL SENIOR SECURED BOND FUND - TRANCHE IA USD MONTHLY DISTRIBUTION | USD | 100,57 | 24.10. |  | 5,81 | - | - | - |  | A3EDYT | BARINGS GLOBAL SENIOR SECURED BOND FUND - TRANCHE N USD ACCUMULATION | USD | 122,77 | 24.10. |  | 4,92 | - | - | - |  | A3EDYU | BARINGS GLOBAL SENIOR SECURED BOND FUND - TRANCHE N USD DISTRIBUTION | USD | 100,93 | 24.10. |  | 5,65 | 6,51 | 30,69 | 16,96 |  | A41A6Y | BARINGS GLOBAL SENIOR SECURED BOND FUND - TRANCHE N USD MONTHLY DISTRIBUTION | USD | 100,68 | 24.10. |  | 5,89 | - | - | - |  | BA0030 | BARINGS GLOBAL SENIOR SECURED BOND FUND - TRANCHE S USD DISTRIBUTION | USD | 106,39 | 24.10. |  | 7,12 | 8,33 | 37,40 | - |  | A2QMKF | BAYERNINVEST ESG GLOBAL BOND OPPORTUNITIES A | EUR | 98,04 | 24.10. |  | -0,72 | 1,24 | 5,84 | - |  | A2QMKE | BAYERNINVEST ESG GLOBAL BOND OPPORTUNITIES I | EUR | 1,007,35 | 24.10. |  | -0,07 | 2,08 | 9,61 | - |  | A2P06N | BAYERNINVEST ESG HIGH YIELD EURO FONDS AL | EUR | 101,36 | 24.10. |  | 3,64 | 4,72 | 30,54 | 11,87 |  | A2P06M | BAYERNINVEST ESG HIGH YIELD EURO FONDS INSTAL | EUR | 10,161,40 | 24.10. |  | 4,34 | 5,58 | 33,57 | 16,22 |  | A2PSYB | BAYERNINVEST ESG SUBORDINATED BOND-FONDS A | EUR | 93,95 | 24.10. |  | 3,00 | 3,84 | 24,08 | 13,94 |  | A0ETKV | BAYERNINVEST ESG SUBORDINATED BOND-FONDS I | EUR | 8,131,47 | 24.10. |  | 4,02 | 5,07 | 28,13 | 19,19 |  |
|
|
|