Titel
ISIN
  Ertragstyp
Währung
Fondsgesellschaft Rückn. Preis
Datum
Perf. 3M Perf. 1J Perf. 3J Perf. 5J SR (1J)
Vola. (1J)
 
UniInstitutional Financial Bonds
DE000A2AR3T6
ausschüttend
EUR
Union Inv. Privatf. 96.7500
27.05.2024
+1.71% +6.73% -5.47% -2.49% 0.87
3.43%
UniEuroRenta HighYield
DE0009757831
ausschüttend
EUR
Union Inv. Privatf. 32.4400
27.05.2024
+1.57% +10.42% -1.78% +6.53% 2.71
2.48%
Quoniam Bd MinRisk SGB
DE000A2QFXM6
ausschüttend
EUR
Union Inv. Privatf. 96.5100
27.05.2024
+0.96% +4.88% - - 0.64
1.74%
UniInstitutional Premium Corporate ...
DE000A3CU5C9
thesaurierend
EUR
Union Inv. Privatf. 105.2100
27.05.2024
+0.93% - - - -
-
UniInstitutional Premium Corporate ...
DE0005326599
ausschüttend
EUR
Union Inv. Privatf. 55.0300
27.05.2024
+0.91% +4.98% -8.20% -3.55% 0.31
3.93%
LIGA-Pax-Rent-Union
DE0008491226
ausschüttend
EUR
Union Inv. Privatf. 23.0200
27.05.2024
+0.90% +5.25% -10.19% -7.21% 0.40
3.72%
UniInstitutional Premium Corporate ...
DE000A1C81E6
ausschüttend
EUR
Union Inv. Privatf. 98.6600
27.05.2024
+0.86% +4.71% -8.88% -4.58% 0.24
3.92%
UniInstitutional Laufzeitf.2024 EUR
DE000A1C81M9
ausschüttend
EUR
Union Inv. Privatf. 85.3500
27.05.2024
+0.78% +3.75% - - -0.06
0.45%
KCD-Union Nachhaltig RENTEN
DE0005326524
ausschüttend
EUR
Union Inv. Privatf. 46.4900
27.05.2024
+0.74% +4.13% -12.36% -10.19% 0.09
3.98%
UniInstitutional Global Corp. Bonds...
DE000A2N7V14
thesaurierend
EUR
Union Inv. Privatf. 101.3000
27.05.2024
+0.72% +5.53% -10.33% -2.93% 0.39
4.48%
UniInstitutional Euro Covered Bonds...
DE0009757633
ausschüttend
EUR
Union Inv. Privatf. 105.5700
27.05.2024
+0.67% +2.98% -11.78% -10.80% -0.22
3.63%
UniInstitutional EM Bonds Spezial
DE0009757732
ausschüttend
EUR
Union Inv. Privatf. 36.7200
27.05.2024
+0.63% +4.94% -17.19% -10.63% 0.21
5.68%
UniInstitutional Green Bonds
DE000A2AR3W0
ausschüttend
EUR
Union Inv. Privatf. 84.7600
27.05.2024
+0.61% +4.01% -15.31% -10.94% 0.04
5.28%
UniInstitutional Global Corporate B...
DE0006352719
ausschüttend
EUR
Union Inv. Privatf. 46.9300
27.05.2024
+0.60% +5.13% -11.22% -4.30% 0.30
4.48%
UniInstitutional Global Corp. Bonds...
DE000A2DMVJ0
ausschüttend
EUR
Union Inv. Privatf. 87.8600
27.05.2024
+0.55% +5.36% -10.66% -3.77% 0.56
2.87%
UniEuroRenta
DE0008491069
ausschüttend
EUR
Union Inv. Privatf. 58.2700
27.05.2024
+0.47% +2.76% -9.40% -9.29% -0.32
3.27%
UniKapital
DE0008491085
thesaurierend
EUR
Union Inv. Privatf. 104.1700
27.05.2024
-0.22% +1.17% -1.16% -4.88% -0.83
3.19%
UniKapital -net-
DE0009750174
ausschüttend
EUR
Union Inv. Privatf. 35.9400
27.05.2024
-0.31% +0.90% -1.95% -6.35% -0.91
3.2%
UniRenta
DE0008491028
ausschüttend
EUR
Union Inv. Privatf. 16.1500
27.05.2024
-0.98% -2.17% -10.48% -10.87% -1.15
5.2%