Fonds-Suche

Suchen

101 Fonds Ergebnisse

Name WKN KVG F-Fex
Rating
Morningstar
Rating
FNG
Siegel
1J Perf.
%
5J Perf.
%
10J Perf.
%
Volumen
in Mio.
M&G Global High Yield Bond Fund Sterling A Inc Fonds A0M0EZ M&G Securities 4,12 11,39 40,26 640,41
M&G Global High Yield Bond Fund Sterling A Acc Fonds A1C46J M&G Securities 4,12 11,34 40,15 640,41
M&G Global High Yield Bond Fund Sterling I Acc Fonds M&G Securities 4,54 13,60 47,00 640,41
M&G Global High Yield Bond Fund Sterling I Inc Fonds M&G Securities 4,54 13,65 47,10 640,41
M&G Global Macro Bond Fund Sterling A Inc Fonds M&G Securities 2,30 -7,89 1,83 213,1
M&G Global Macro Bond Fund Sterling A Acc Fonds A1JLAA M&G Securities 2,31 -7,83 1,89 213,1
M&G Global Macro Bond Fund Sterling A-H Acc Fonds A14PWL M&G Securities 0,30 -13,89 -5,45 213,1
M&G Global Macro Bond Fund Sterling A-H Inc Fonds A14PWM M&G Securities 0,04 -14,25 -5,72 213,1
M&G Global Macro Bond Fund Sterling I Acc Fonds A1JPJQ M&G Securities 2,73 -5,96 6,89 213,1
M&G Global Macro Bond Fund Sterling I Inc Fonds A1JPJP M&G Securities 2,72 -6,03 6,82 213,1
M&G Global Macro Bond Fund Sterling I-H Acc Fonds A14PWS M&G Securities 0,71 -12,02 -0,48 213,1
M&G Global Macro Bond Fund Sterling I-H Inc Fonds A14PWT M&G Securities 0,72 -12,10 -0,69 213,1
M&G Global Sustain Paris Aligned Fund Sterling A Inc Fonds A0RLXQ M&G Securities 10,57 45,30 170,98 803,19
M&G Global Sustain Paris Aligned Fund Sterling A Acc Fonds A0ERY5 M&G Securities 10,56 45,30 170,98 803,19
M&G Global Sustain Paris Aligned Fund Sterling I Inc Fonds M&G Securities 11,01 48,23 185,53 803,19
M&G Global Sustain Paris Aligned Fund Sterling I Acc Fonds A2PXUV M&G Securities 11,01 48,24 185,50 803,19
M&G Global Themes Fund EUR A Acc Fonds 797735 M&G Securities C 18,92 40,86 147,25 2885,08
M&G Global Themes Fund USD A Acc Fonds A0MLUU M&G Securities C 15,67 35,73 154,91 2885,08
M&G Global Themes Fund EUR A Inc Fonds A1WZWN M&G Securities C 18,93 40,87 147,24 2885,08
M&G Global Themes Fund EUR C Acc Fonds 797736 M&G Securities C 20,11 48,02 173,12 2885,08