Fixed Maturity Emerging Markets Bond 2026 A Income Fonds
88,70
USD
-0,14
USD
-0,16
%
NAV
Werbung
Zusammensetzung nach Ländern
Chart
Tabelle
Name | Anteil |
---|---|
Mexico | 9,25% |
China | 8,12% |
Colombia | 7,94% |
Supranational | 6,13% |
Peru | 5,91% |
Chile | 5,19% |
India | 5,07% |
South Korea | 4,16% |
Romania | 3,84% |
Indonesia | 3,57% |
Hungary | 3,38% |
Kazakhstan | 2,73% |
Netherlands | 2,53% |
United Arab Emirates | 2,48% |
Czechia | 2,29% |
Austria | 2,16% |
Latvia | 2,03% |
Poland | 1,95% |
Panama | 1,81% |
Brazil | 1,76% |
Hong Kong | 1,63% |
Cyprus | 1,53% |
Singapore | 1,16% |
Ghana | 1,13% |
Uzbekistan | 1,13% |
South Africa | 1,04% |
Malaysia | 1,01% |
Nigeria | 0,93% |
Tajikistan | 0,77% |
El Salvador | 0,77% |
Estonia | 0,75% |
Iraq | 0,68% |
United Kingdom | 0,60% |
Kuwait | 0,59% |
Macao | 0,57% |
Turkey | 0,53% |
Cayman Islands | 0,48% |
Slovakia | 0,42% |
Egypt | 0,40% |
Canada | 0,29% |
Saudi Arabia | 0,13% |
Qatar | 0,03% |
United States | 0,03% |
Thailand | 0,02% |
Taiwan | 0,02% |
Philippines | 0,01% |
Trinidad & Tobago | 0,01% |
Australia | 0,01% |
Lithuania | 0,01% |
Morocco | 0,01% |
Bulgaria | 0,00% |
Sonstige | 1,02% |