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151 Fonds Ergebnisse

Name WKN KVG F-Fex
Rating
Morningstar
Rating
FNG
Siegel
1J Perf.
%
5J Perf.
%
10J Perf.
%
Volumen
in Mio.
Carmignac Pf Credit A EUR Acc Fonds A2DSRU Carmignac Gestion B 7,43 37,26 - 1788,91
Carmignac Pf Credit A USD Hedged Acc Fonds A2DSRW Carmignac Gestion 8,80 45,62 - 1788,91
Carmignac Pf Credit A CHF Hedged Acc Fonds Carmignac Gestion 5,02 30,06 - 1788,91
Carmignac Pf Credit F EUR Acc Fonds A2PKS0 Carmignac Gestion B 7,80 39,69 - 1788,91
Carmignac Pf Credit F CHF Hedged Acc Fonds A2P0WK Carmignac Gestion 5,41 32,25 - 1788,91
Carmignac Pf Credit F USD Hedged Acc Fonds Carmignac Gestion 9,20 48,08 - 1788,91
Carmignac Pf Credit FW USD Hedged Acc Fonds Carmignac Gestion 9,93 - - 1788,91
Carmignac Pf Credit Income A EUR Fonds A2DSRV Carmignac Gestion B 7,41 37,16 - 1788,91
Carmignac Pf EM Debt A EUR Acc Fonds A2DSRY Carmignac Gestion D 3,36 - - 307,09
Carmignac Pf EM Debt A USD Hedged Acc Fonds Carmignac Gestion 4,61 - - 307,09
Carmignac Pf EM Debt F EUR Acc Fonds A2QLFN Carmignac Gestion 3,93 - - 307,09
Carmignac Pf EM Debt F USD Hedged Acc Fonds Carmignac Gestion 5,18 - - 307,09
Carmignac Pf EM Debt I EUR Acc Fonds A3EM0D Carmignac Gestion - - - 307,09
Carmignac Pf Flexible Bond A CHF Acc Hdg Fonds A1J2R1 Carmignac Gestion C 4,38 14,36 4,48 1799,69
Carmignac Pf Flexible Bond A USD Acc Hdg Fonds A1J2R2 Carmignac Gestion B 7,50 27,66 31,25 1799,69
Carmignac Pf Flexible Bond A EUR Acc Fonds A0M9A2 Carmignac Gestion D 6,05 20,38 13,09 1799,69
Carmignac Pf Flexible Bond A EUR Ydis Fonds A1W94Z Carmignac Gestion D 6,00 21,00 13,73 1799,69
Carmignac Pf Flexible Bond E EUR Acc Fonds Carmignac Gestion 5,57 - - 1799,69
Carmignac Pf Flexible Bond F CHF Acc Hdg Fonds A116MQ Carmignac Gestion B 4,64 16,24 8,58 1799,69
Carmignac Pf Flexible Bond F EUR Acc Fonds A1W940 Carmignac Gestion C 6,40 22,31 17,39 1799,69