LGT Bond Fund Global Inflation Linked (EUR) I1

YTD 1 mese 3 mesi 6 mesi 1 anno 2 anni 3 anni 5 anni
+2.72%
31.12.24 - 19.11.25
-0.42%
20.10.25 - 19.11.25
+0.16%
19.08.25 - 19.11.25
+0.94%
19.05.25 - 19.11.25
+2.35%
19.11.24 - 19.11.25
+5.08%
20.11.23 - 19.11.25
+4.49%
21.11.22 - 19.11.25
+4.35%
19.11.20 - 19.11.25
1'345.35 (H)
16.09.2025
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
1'345.35 (H)
16.09.2025
1'367.13 (H)
07.03.2022
1'300.24 (L)
10.01.2025
1'336.82 (L)
19.11.2025
1'334.63 (L)
19.08.2025
1'321.54 (L)
06.06.2025
1'298.94 (L)
27.12.2024
1'268.84 (L)
24.11.2023
1'253.43 (L)
03.10.2023
1'253.10 (L)
30.09.2022