Titel
ISIN
  Ertragstyp
Währung
Fondsgesellschaft Rückn. Preis
Datum
Perf. 3M Perf. 1J Perf. 3J Perf. 5J SR (1J)
Vola. (1J)
 
Banor SICAV Euro Bond Abs.R.R EUR
LU0290352292
thesaurierend
EUR
Link Fund Sol. (LUX) 12.0400
31.05.2024
+1.18% +8.57% -0.33% +6.36% 2.64
1.81%
BANOR SICAV - EURO BOND ABSOLUTE RE...
LU0290352532
thesaurierend
EUR
Link Fund Sol. (LUX) 1'363.7800
31.05.2024
+1.32% - - - -
-
BANOR SICAV - EURO BOND ABSOLUTE RE...
LU0451395494
ausschüttend
EUR
Link Fund Sol. (LUX) 8.8200
31.05.2024
+1.26% - - - -
-
BANOR SICAV - EURO BOND ABSOLUTE RE...
LU0451395577
ausschüttend
EUR
Link Fund Sol. (LUX) 1'016.5800
31.05.2024
+1.37% - - - -
-
BANOR SICAV - EURO BOND ABSOLUTE RE...
LU1417207831
thesaurierend
USD
Link Fund Sol. (LUX) 12.4900
31.05.2024
+1.46% - - - -
-
BANOR SICAV - EURO BOND ABSOLUTE RE...
LU1417208052
thesaurierend
USD
Link Fund Sol. (LUX) 1'058.4600
31.05.2024
+1.57% - - - -
-