AB Swiss Funds - Global Balanced Fund Classe R1 USD

YTD 1 mese 3 mesi 6 mesi 1 anno 2 anni 3 anni 5 anni
+0.74%
31.12.24 - 17.01.25
+0.50%
20.12.24 - 17.01.25
-0.76%
18.10.24 - 17.01.25
+3.11%
19.07.24 - 17.01.25
+5.64%
09.02.24 - 17.01.25
- - -
105.64 (H)
17.01.2025
105.64 (H)
17.01.2025
107.50 (H)
06.12.2024
107.50 (H)
06.12.2024
107.50 (H)
06.12.2024
- - -
103.98 (L)
10.01.2025
103.98 (L)
10.01.2025
103.98 (L)
10.01.2025
102.19 (L)
09.08.2024
99.51 (L)
19.04.2024
- - -