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78 Fonds Ergebnisse

Name WKN KVG F-Fex
Rating
Morningstar
Rating
FNG
Siegel
1J Perf.
%
5J Perf.
%
10J Perf.
%
Volumen
in Mio.
KBC Bonds Convertibles B Acc Fonds A1J6EF KBC Asset Management NV - - - 74,44
KBC Bonds Corporates USD B Acc Fonds A1JZV4 KBC Asset Management NV 2,61 -1,01 25,94 60,55
KBC Bonds Corporates Euro Capitalisation Fonds 921409 KBC Asset Management NV C -0,04 -3,84 2,63 983,5
KBC Bonds Corporates Euro Institutional B Shares Capitalization Fonds A1JZV0 KBC Asset Management NV 0,57 -0,84 7,54 983,5
KBC Bonds Corporates Euro Institutional Shares Distribution Fonds A0MXV0 KBC Asset Management NV 13,02 0,52 - 983,5
KBC Bonds Corporates Euro Distribution Fonds 921408 KBC Asset Management NV E -3,50 -12,41 -6,76 983,5
KBC Bonds Corporates USD Acc Fonds 933691 KBC Asset Management NV C 1,97 -4,11 20,12 60,55
KBC Bonds Corporates USD Inc Fonds 933690 KBC Asset Management NV E -3,66 -16,87 3,97 60,55
KBC Bonds Emerging Europe B Acc Fonds KBC Asset Management NV 5,59 - - 69,74
KBC Bonds Emerging Europe Acc Fonds 755633 KBC Asset Management NV 4,58 -10,08 -21,29 69,74
KBC Bonds Emerging Europe Inc Fonds 755632 KBC Asset Management NV -1,39 -22,95 -32,64 69,74
KBC Bonds Emerging Europe USD Inc Fonds A0RD3Z KBC Asset Management NV -4,26 -26,53 -31,19 69,74
KBC Bonds Emerging Markets B Acc Fonds A1JZVZ KBC Asset Management NV 8,48 11,51 32,09 280,63
KBC Bonds Emerging Markets Acc Fonds 675673 KBC Asset Management NV C 7,31 5,68 21,64 280,63
KBC Bonds Emerging Markets Inc Fonds 933995 KBC Asset Management NV E 0,66 -11,22 2,04 280,63
KBC Bonds High Interest B Acc Fonds A1JZVY KBC Asset Management NV 4,84 -3,15 -3,25 761,01
KBC Bonds High Interest I Acc Fonds A0LBUA KBC Asset Management NV C 4,66 -4,11 -3,25 761,01
KBC Bonds High Interest Acc Fonds 974100 KBC Asset Management NV C 4,12 -7,09 -9,43 761,01
KBC Bonds High Interest Inc Fonds 974122 KBC Asset Management NV E -0,63 -16,92 -19,03 761,01
KBC Bonds High Interest USD Inc Fonds A0RHR1 KBC Asset Management NV D -3,64 -20,43 -16,95 761,01