Name WKN Fondsgesellschaft Währ. 1-Y Perf. % 3-Y Perf. % 5-Y Perf. % Volumen (Mio.)
KBC Bonds Convertibles Acc Fonds 921389 KBC Asset Management NV EUR 14,13 -3,82 10,61 74,44
KBC Bonds Convertibles B Acc Fonds A1J6EF KBC Asset Management NV EUR - - - 74,44
KBC Bonds Convertibles Euro Hedged Acc Fonds A0LGEU KBC Asset Management NV EUR 11,18 -10,83 2,39 74,44
KBC Bonds Convertibles Euro Hedged Inc Fonds A0LGET KBC Asset Management NV EUR 10,85 -11,15 2,03 74,44
KBC Bonds Convertibles Inc Fonds 921387 KBC Asset Management NV EUR 13,79 -4,12 10,25 74,44
KBC Bonds Corporates Euro Capitalisation Fonds 921409 KBC Asset Management NV EUR 7,04 -3,89 -3,82 983,5
KBC Bonds Corporates Euro Distribution Fonds 921408 KBC Asset Management NV EUR 2,84 -9,26 -9,31 983,5
KBC Bonds Corporates Euro Institutional B Shares Capitalization Fonds A1JZV0 KBC Asset Management NV EUR 7,71 -2,10 -0,84 983,5
KBC Bonds Corporates Euro Institutional Shares Distribution Fonds A0MXV0 KBC Asset Management NV EUR 13,02 1,01 0,52 983,5
KBC Bonds Corporates USD Acc Fonds 933691 KBC Asset Management NV USD 7,37 -6,08 2,16 60,55
KBC Bonds Corporates USD B Acc Fonds A1JZV4 KBC Asset Management NV USD 8,06 -4,25 5,42 60,55
KBC Bonds Corporates USD Inc Fonds 933690 KBC Asset Management NV USD 1,32 -13,78 -6,26 60,55
KBC Bonds Emerging Europe Acc Fonds 755633 KBC Asset Management NV EUR 3,42 -9,98 -24,87 69,74
KBC Bonds Emerging Europe B Acc Fonds KBC Asset Management NV EUR 4,40 -7,36 - 69,74
KBC Bonds Emerging Europe Inc Fonds 755632 KBC Asset Management NV EUR -2,33 -18,13 -31,71 69,74
KBC Bonds Emerging Europe USD Inc Fonds A0RD3Z KBC Asset Management NV USD -5,36 -22,67 -34,23 69,74
KBC Bonds Emerging Markets Acc Fonds 675673 KBC Asset Management NV USD 11,22 -1,60 2,23 280,63
KBC Bonds Emerging Markets B Acc Fonds A1JZVZ KBC Asset Management NV USD 12,42 1,61 7,86 280,63
KBC Bonds Emerging Markets Inc Fonds 933995 KBC Asset Management NV USD 3,35 -11,85 -8,50 280,63
KBC Bonds High Interest Acc Fonds 974100 KBC Asset Management NV EUR 3,50 -5,86 -8,79 761,01
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