Allianz Floating Rate Notes Plus - I - EUR/  LU1089089129  /

Fonds
NAV11.06.2024 Diff.+0.1600 Ertragstyp Ausrichtung Fondsgesellschaft
997.9300EUR +0.02% ausschüttend Anleihen Allianz Gl.Investors 
     
Chart for Allianz Floating Rate Notes Plus - I - EUR
  Titel   ISIN Performance Volatilität Sharpe Ratio
1. DWS Inv.ESG Floating Rate Notes CH RD LU2066748810 +6.26% 0.21% 12.11
2. AGIF-Allianz Float.Rate N.P Var Z.P USD LU1573296263 +5.82% 0.18% 11.84
3. AGIF-Allianz Float.Rate N.P Var Z.A USD LU1573296008 +5.82% 0.18% 11.44
4. M&G Sen.Asset B.Cred.Fd.A USD H LU2008183423 +7.93% 0.42% 10.01
5. M&G Sen.Asset B.Cred.Fd.QI USD H LU2008183779 +7.90% 0.42% 9.96
6. M&G Sen.Asset B.Cred.Fd.Q USD H LU2008183696 +7.86% 0.42% 9.91
7. BlueBay Inv.Gr.Asset-B.Cr.Fd.G USD(QID.) LU1959294593 +10.68% 0.73% 9.51
8. M&G Sen.Asset B.Cred.Fd.A GBP LU2008182888 +7.65% 0.42% 9.45
9. M&G Sen.Asset B.Cred.Fd.QI GBP LU2008183001 +7.61% 0.41% 9.43
10. M&G Sen.Asset B.Cred.Fd.Q GBP LU2008182961 +7.57% 0.41% 9.37
...
317. Allianz Floating Rate Notes Plus - I - EUR LU1089089129 +4.12% 0.14% 2.61