Swisscanto (LU) Bond Fund Committed Global Absolute Return AA USD

YTD 1 mese 3 mesi 6 mesi 1 anno 2 anni 3 anni 5 anni
+3.74%
31.12.24 - 03.11.25
+0.55%
03.10.25 - 03.11.25
+1.86%
04.08.25 - 03.11.25
+2.43%
05.05.25 - 03.11.25
+4.31%
04.11.24 - 03.11.25
+12.70%
03.11.23 - 03.11.25
+16.81%
03.11.22 - 03.11.25
+6.67%
03.11.20 - 03.11.25
102.79 (H)
27.10.2025
102.79 (H)
27.10.2025
102.79 (H)
27.10.2025
102.79 (H)
27.10.2025
102.79 (H)
27.10.2025
102.79 (H)
27.10.2025
102.79 (H)
27.10.2025
102.79 (H)
27.10.2025
97.34 (L)
13.01.2025
101.55 (L)
07.10.2025
100.20 (L)
02.09.2025
97.71 (L)
21.05.2025
97.34 (L)
13.01.2025
90.39 (L)
06.11.2023
87.59 (L)
03.11.2022
87.04 (L)
11.10.2022