LGT Bond Fund Global Inflation Linked (EUR) I1

YTD 1 month 3 months 6 months 1 year 2 years 3 years 5 years
+0.25%
31.12.25 - 16.01.26
+0.32%
16.12.25 - 16.01.26
-0.39%
16.10.25 - 16.01.26
+0.53%
16.07.25 - 16.01.26
+2.46%
16.01.25 - 16.01.26
+3.54%
16.01.24 - 16.01.26
+4.88%
17.01.23 - 16.01.26
+3.58%
19.01.21 - 16.01.26
1,340.62 (H)
15.01.2026
1,340.62 (H)
15.01.2026
1,345.06 (H)
22.10.2025
1,345.35 (H)
16.09.2025
1,345.35 (H)
16.09.2025
1,345.35 (H)
16.09.2025
1,345.35 (H)
16.09.2025
1,367.13 (H)
07.03.2022
1,336.19 (L)
31.12.2025
1,334.38 (L)
23.12.2025
1,334.38 (L)
23.12.2025
1,332.51 (L)
16.07.2025
1,304.95 (L)
22.01.2025
1,278.97 (L)
22.02.2024
1,253.43 (L)
03.10.2023
1,253.10 (L)
30.09.2022