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Nome del fondo  NAV  Issue Price  Redemption Price  Closing Price  Trading Information SIX YTD Perf.  MyFunds
Global Opportunities Access - Balanced CHF F-acc
LU0347932120
Q
141.97 CHF
03.02.2025
141.97 CHF
03.02.2025
141.97 CHF
03.02.2025
+2.50%
Global Opportunities Access - Balanced EUR F-acc
LU0347930181
Q
163.15 EUR
03.02.2025
163.15 EUR
03.02.2025
163.15 EUR
03.02.2025
+2.23%
Global Opportunities Access - Balanced EUR K-acc
LU0347930264
Q
209.35 EUR
03.02.2025
209.35 EUR
03.02.2025
209.35 EUR
03.02.2025
+2.23%
Global Opportunities Access - Corporate Bonds CHF-hedged F-acc
LU1230907567
Q
95.85 CHF
03.02.2025
95.85 CHF
03.02.2025
95.85 CHF
03.02.2025
+0.20%
Global Opportunities Access - Corporate Bonds CHF-hedged F-UKdist
LU1303886805
Q
85.10 CHF
03.02.2025
85.10 CHF
03.02.2025
85.10 CHF
03.02.2025
+0.19%
Global Opportunities Access - Corporate Bonds EUR F-acc
LU1116894749
Q
102.89 EUR
03.02.2025
102.89 EUR
03.02.2025
102.89 EUR
03.02.2025
+0.41%
Global Opportunities Access - Corporate Bonds EUR F-UKdist
LU1116896876
Q
89.88 EUR
03.02.2025
89.88 EUR
03.02.2025
89.88 EUR
03.02.2025
+0.40%
Global Opportunities Access - Corporate Bonds GBP-hedged F-UKdist
LU1172252089
Q
95.32 GBP
03.02.2025
95.32 GBP
03.02.2025
95.32 GBP
03.02.2025
+0.62%
Global Opportunities Access - Corporate Bonds JPY-hedged F-acc
LU1490153027
Q
9'482.00 JPY
03.02.2025
9'482.00 JPY
03.02.2025
9'482.00 JPY
03.02.2025
+0.19%
Global Opportunities Access - Corporate Bonds USD F-acc
LU1116894822
Q
120.30 USD
03.02.2025
120.30 USD
03.02.2025
120.30 USD
03.02.2025
+0.58%
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Q
Fondo per investitori qualificati
E
Il fondo è un ETF / Il fondo è un ETFS
S
Il fondo è un Sponsored Fund
* NAV / Issue Price commissioni escluse, per fondi quotati in borsa NAV o quotazione di chiusura