Neue Ratings im Quartal

Suchbegriff:
TrancheISINScope PeergroupRatingErstes RatingAuM (Mio.)Dokumente
FalseR-Co Thematic Real Estate C EURFR0007457890A0NJZ210/26/2018Immobilienaktien EuropaRothschild Asset Management(D)396/30/20206/30/2020409.43EUR-23.00 %2.20 %7.53 %-23.00 %-14.14 %-2.23 %2.57 %-11.82 %617.25 %33.33 %66.67 %-24.52 %-28.40 % 1.86 %1.50 %4.00 %0.00 %5EURDeutschland
FalseRobeco Emerging Credits DH USDLU1143725874 11/25/2014Renten Emerging Markets Corporates USDRobeco Luxembourg SA(C)555/31/20205/31/20201.86EUR1.26 %1.54 %8.33 %1.26 %7.03 %4.84 %4.49 %38.39 %48.36 %30.56 %69.44 %-7.31 %-9.47 % 1.38 %1.20 %3.00 %0.00 %1USDDeutschland
FalseRobeco Multi Asset Income E EURLU1387747915 9/9/2016Mischfonds Global konservativRobeco Luxembourg SA(A)836/30/20206/30/2020158.77EUR-0.81 %0.86 %6.01 %-0.81 %1.83 %3.08 %2.46 %10.32 %45.69 %38.89 %61.11 %-6.45 %-7.63 % 1.02 %1.00 %2.00 %0.00 %1EURDeutschland
FalseRWC Nissay Japan Focus A JPYLU1212749227A14S0S5/12/2015Aktien JapanMDO Management Company SA(B)745/31/20205/31/2020238.59EUR4.03 %-0.38 %25.72 %4.03 %29.46 %13.63 %11.33 %77.60 %620.27 %30.56 %69.44 %-18.30 %-17.36 % 2.15 %1.80 %5.00 %0.00 %4,000,000JPYDeutschland
FalseSALytic Bond Opportunities IDE000A1JSW30A1JSW34/23/2014Renten EUROMonega Kapitalanlagegesellschaft mbH(C)594/30/20206/30/202058.67EUR-3.24 %0.95 %3.53 %-3.24 %-2.38 %0.58 %1.71 %12.54 %34.56 %41.67 %58.33 %-6.99 %-7.21 % 0.70 %0.55 %0.00 %0.00 %50,000EURDeutschland
FalseSanlam Global High Quality C GBP AccIE00BJWHZ516 2/28/2014Aktien WeltSanlam Asset Management (Ireland) Limited(A)896/30/20206/30/2020147.99EUR-5.18 %0.34 %11.99 %-5.18 %2.60 %5.90 %8.71 %102.44 %512.91 %30.56 %69.44 %-11.73 %-16.55 % 0.60 %0.55 %0.00 %0.00 %300GBPDeutschland
FalseSanlam Multi-Strategy Class A SterlingIE00B4QNLR45 11/11/2013Mischfonds Global ausgewogenSanlam Asset Management (Ireland) Limited(D)386/30/20206/30/2020420.83EUR-8.60 %-0.15 %2.27 %-8.60 %-0.08 %1.88 %-1.23 %9.97 %58.73 %36.11 %63.89 %-8.60 %-12.19 % 0.96 %0.75 %0.00 %0.00 %1,000GBPDeutschland
FalseSchroder ISF Emerging Multi-Asset Income A AccLU1196710195A14P454/8/2015Mischfonds Global flexibelSchroder Investment Management Europe SA(C)514/30/20204/30/2020240.14EUR-8.85 %5.66 %12.41 %-8.85 %-4.14 %-1.66 %0.82 %-3.51 %512.54 %41.67 %58.33 %-15.28 %-18.91 % 1.58 %1.25 %5.00 %0.00 %1,000USDDeutschland
FalseSchroder ISF Global High Yield A AccLU0189893018A0CAMC4/16/2004Renten Global Corp. High YieldSchroder Investment Management Europe SA(C)594/30/20204/30/20201,468.21EUR-6.08 %0.88 %9.35 %-6.08 %-1.07 %2.11 %3.23 %144.84 %511.34 %38.89 %61.11 %-14.35 %-15.61 % 1.29 %1.00 %3.00 %0.00 %1,000USDDeutschland
FalseSLI Glo SICAV Global High Yield Bond A Acc USDLU0455263565A0YBUR4/7/2010Renten Global Corp. High YieldAberdeen Standard Investments Luxembourg SA(D)334/30/20204/30/2020992.78EUR-5.41 %0.68 %9.20 %-5.41 %-0.31 %1.94 %2.47 %87.29 %411.18 %38.89 %61.11 %-14.09 %-15.15 % 1.45 %1.35 %5.00 %0.00 %1,000USDDeutschland
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