Name
ISIN
  Type of yield
Currency
Investment company Repurchase p.
Date
Perf. 3M Perf. 1Y Perf. 3Y Perf. 5Y SR (1Y)
Vola. (1Y)
 
Nomura Asia Pacific Fonds
DE0008484072
reinvestment
EUR
Nomura AM (EU) 145.5000
2024-05-29
+7.27% +3.88% -26.26% +8.66% 0.01
14.53%
Nomura Fd.I.plc-Am.C.Gl.Sm.C.Eq.Fd....
IE00BJLN8Z17
reinvestment
USD
Nomura AM (EU) 156.2745
2024-05-31
+1.72% +17.72% -11.81% - 0.85
16.42%
Nomura Fd.Ireland p-Euro.H.Y.Bd.Fd....
IE00BF4KRQ58
reinvestment
EUR
Nomura AM (EU) 115.3584
2024-05-31
+0.94% +10.98% +1.55% +15.91% 3.01
2.39%
Nomura Real Protect Fonds I USD
DE000A1XDW54
paying dividend
USD
Nomura AM (EU) 113.4700
2024-05-29
+0.38% +1.68% +6.46% +14.25% -0.70
3%
Nomura Real Protect Fonds I EUR
DE0008484452
paying dividend
EUR
Nomura AM (EU) 97.0100
2024-05-29
+0.02% 0.00% +1.20% +5.01% -1.27
2.98%
Nomura Real Protect Fonds R EUR
DE000A1XDW13
paying dividend
EUR
Nomura AM (EU) 93.2600
2024-05-29
-0.06% -0.37% +0.09% +3.10% -1.40
2.98%
Nomura Real Return Fonds I USD H
DE000A1XDW39
paying dividend
USD
Nomura AM (EU) 99.1900
2024-05-29
-0.72% -1.26% -13.97% -3.77% -0.71
7.07%
Nomura Real Return Fonds I EUR
DE000A1XDW21
paying dividend
EUR
Nomura AM (EU) 84.9300
2024-05-29
-1.08% -3.10% -19.03% -12.36% -0.98
7.06%
Nomura Asian Bonds Fonds C
DE000A2DHS00
paying dividend
EUR
Nomura AM (EU) 111.4100
2024-05-29
-1.10% -3.12% +5.77% +8.05% -1.12
6.18%
Nomura Asian Bonds Fonds I
DE000A2DHSZ2
paying dividend
EUR
Nomura AM (EU) 110.0200
2024-05-29
-1.13% -3.26% +5.30% +7.23% -1.14
6.19%
Nomura Real Return Fonds R EUR
DE0008484361
paying dividend
EUR
Nomura AM (EU) 471.3600
2024-05-29
-1.17% -3.46% -19.93% -13.98% -1.03
7.07%
Nomura Asian Bonds Fonds R
DE0008484429
paying dividend
EUR
Nomura AM (EU) 63.8200
2024-05-29
-1.27% -3.79% +3.58% +4.34% -1.22
6.2%