AB SICAV I Em.Market L.C.Db.Pf.I2 EUR H/  LU0736562496  /

Fonds
NAV11/25/2020 Chg.+0.0500 Type of yield Investment Focus Investment company
13.1500EUR +0.38% reinvestment Bonds AllianceBernstein LU 
     
Chart for AB SICAV I Em.Market L.C.Db.Pf.I2 EUR H
  Name   ISIN Performance Volatility Sharpe ratio
1. Multico.SICAV-JB Fi.In.Em.M.C.USD K LU1079021553 +10.94% 4.90% 2.34
2. Multico.SICAV-JB Fi.In.EM.C.USD B LU1079021397 +10.83% 4.86% 2.34
3. Lazard Em.Markets TR Debt F.A Acc USD IE00B4PRR915 +13.05% 6.90% 1.97
4. Lazard Em.Markets TR Debt F.B Acc USD IE00B42CK898 +12.59% 6.92% 1.90
5. Multico.SICAV-JB Fi.In.Em.M.C.EUR Kh LU1394336967 +8.76% 4.96% 1.87
6. Lazard Em.Markets TR Debt F.A Acc EUR H IE00B417CY52 +12.11% 7.08% 1.79
7. Lazard Em.Markets TR Debt F.B Acc EUR H IE00B42H2Q61 +11.84% 7.12% 1.74
8. Lazard Em.Markets TR Debt F.C Acc EUR H IE00BD1K6J05 +11.53% 7.02% 1.72
9. UI - Aktia EM Frontier Bond+ I LU1950511193 +6.54% 4.63% 1.53
10. HSBC GIF Gem Debt Total Return BC USD LU1455021367 +4.49% 3.39% 1.48
...
428. AB SICAV I Em.Market L.C.Db.Pf.I2 EUR H LU0736562496 +1.31% 12.58% 0.15