Fonds-Suche

Suchen

38 Fonds Ergebnisse

Name WKN KVG F-Fex
Rating
Morningstar
Rating
FNG
Siegel
1J Perf.
%
5J Perf.
%
10J Perf.
%
Volumen
in Mio.
Schroder Asian Income USD Hedged C Acc Fonds Schroder Investment Management (Singapore) 6,82 - - 1825,83
Schroder Asian Income SGD A Dis Fonds Schroder Investment Management (Singapore) 4,45 - - 1825,83
Schroder Asian Income SGD W Dis Fonds Schroder Investment Management (Singapore) 4,46 - - 1825,83
Schroder Asian Income SGD X Dis Fonds Schroder Investment Management (Singapore) 4,34 - - 1825,83
Schroder Asian Investment Grade Credit Class USD Hedged A Dis Fonds Schroder Investment Management (Singapore) 5,93 - - 383,46
Schroder Asian Investment Grade Credit Class RMB Hedged A Dis Fonds Schroder Investment Management (Singapore) 3,24 - - 383,46
Schroder Asian Investment Grade Credit Class SGD A Dis Fonds Schroder Investment Management (Singapore) 4,16 - - 383,46
Schroder Asian Investment Grade Credit Class SGD I Acc Fonds Schroder Investment Management (Singapore) 4,98 - - 383,46
Schroder BIC Fund Fonds Schroder Investment Management (Singapore) 7,31 - - 27,05
Schroder China Opportunities Fund Fonds Schroder Investment Management (Singapore) 24,13 - - 89,05
Schroder Emerging Markets Fund Fonds Schroder Investment Management (Singapore) 7,77 - - 111,48
Schroder Global Emerging Market Opportunities Fund Fonds Schroder Investment Management (Singapore) 7,70 - - 121,71
Schroder Global Quality Bond USD I Acc Fonds Schroder Investment Management (Singapore) 5,81 - - 180,08
Schroder Global Quality Bond USD I2 Acc Fonds Schroder Investment Management (Singapore) 6,28 - - 180,08
Schroder Global Quality Bond SGD Hedged F Acc Fonds Schroder Investment Management (Singapore) 3,88 - - 180,08
Schroder Multi-Asset Revolution 50 Fonds Schroder Investment Management (Singapore) 5,47 - - 67,63
Schroder Multi-Asset Revolution 70 Fonds Schroder Investment Management (Singapore) 7,45 - - 220,72
Schroder Singapore Fixed Income Fund Class A Acc Fonds Schroder Investment Management (Singapore) 8,94 - - 457,43