Neuberger Berman European High Yield Bond Fund JPY I1 Distributing Class

YTD 1 mese 3 mesi 6 mesi 1 anno 2 anni 3 anni 5 anni
-0.65%
31.12.25 - 12.01.26
-0.39%
12.12.25 - 12.01.26
+0.32%
13.10.25 - 12.01.26
-0.50%
14.07.25 - 12.01.26
-0.61%
02.06.25 - 12.01.26
- - -
1'005.95 (H)
31.12.2025
1'006.18 (H)
30.12.2025
1'006.18 (H)
30.12.2025
1'014.81 (H)
24.09.2025
1'014.81 (H)
24.09.2025
- - -
993.31 (L)
02.01.2026
993.31 (L)
02.01.2026
993.31 (L)
02.01.2026
993.31 (L)
02.01.2026
993.31 (L)
02.01.2026
- - -