Nombre
ISIN
  Tipo de beneficio
Divisa
Sociedad de fondos Prec. de rescate
Fecha
Rendimiento 3 meses Rendimiento 1 año Rendimiento 3 años Rendimiento 5 años SR (1A)
Volatilidad (1A)
 
SAM S2
AT0000A07LJ8
reinvestment
EUR
Sparkasse OÖ KAG 216.2900
18/06/2024
+5.58% +15.89% +12.39% - 1.82
6.71%
SAM S2 (A)
AT0000A2JSS1
paying dividend
EUR
Sparkasse OÖ KAG 107.8800
18/06/2024
+2.78% +12.83% +2.84% - 1.29
7.08%
SAM S1 T
AT0000A07LH2
reinvestment
EUR
Sparkasse OÖ KAG 125.8900
18/06/2024
+1.23% +7.64% -6.19% - 1.79
2.21%
BusinessBond T DV
AT0000A29469
reinvestment
EUR
Sparkasse OÖ KAG 88.3200
18/06/2024
+0.72% +6.58% -11.99% - 0.86
3.36%
BusinessBond A IT01
AT0000A2D8L9
paying dividend
EUR
Sparkasse OÖ KAG 9,505.7803
18/06/2024
+0.70% +6.53% -12.11% - 0.86
3.29%
s Bond 2028 (A)
ATA30SBOND28
paying dividend
EUR
Sparkasse OÖ KAG 105.0400
18/06/2024
+0.55% +6.21% - - 0.84
3%
s Bond 2028 (T)
ATTJ0SBOND28
reinvestment
EUR
Sparkasse OÖ KAG 105.0400
18/06/2024
+0.55% +6.21% - - 0.84
3%
BusinessBond T
AT0000723168
reinvestment
EUR
Sparkasse OÖ KAG 122.7500
18/06/2024
+0.59% +6.01% -13.52% -11.94% 0.70
3.3%
BusinessBond A
AT0000723176
paying dividend
EUR
Sparkasse OÖ KAG 73.7400
18/06/2024
+0.58% +6.00% -13.41% -11.84% 0.70
3.29%
s EthikBond A IT01
AT0000A2D8N5
paying dividend
EUR
Sparkasse OÖ KAG 9,240.6904
18/06/2024
+0.66% +4.95% -8.59% - 0.30
4.17%
s Ethik Bond T
AT0000681184
reinvestment
EUR
Sparkasse OÖ KAG 120.8000
18/06/2024
+0.53% +4.44% -9.94% -11.17% 0.18
4.17%
Bond s Best-Invest T
AT0000811443
reinvestment
EUR
Sparkasse OÖ KAG 102.9500
18/06/2024
+0.51% +4.43% -8.64% -8.55% 0.24
3.04%
s Ethik Bond A
AT0000681192
paying dividend
EUR
Sparkasse OÖ KAG 88.8200
18/06/2024
+0.53% +4.42% -9.94% -11.17% 0.17
4.17%
ClassicBond T DV
AT0000A294A1
reinvestment
EUR
Sparkasse OÖ KAG 84.7800
18/06/2024
-0.08% +4.15% -12.66% - 0.09
5.19%
ClassicBond A IT01
AT0000A2D7Y4
paying dividend
EUR
Sparkasse OÖ KAG 8,487.9404
18/06/2024
-0.12% +4.01% -12.98% - 0.06
5.14%
AustroMündelRent A IT01
AT0000A2D8K1
paying dividend
EUR
Sparkasse OÖ KAG 8,355.1201
18/06/2024
+0.09% +4.00% -13.57% - 0.05
5.57%
ClassicBond T
AT0000497680
reinvestment
EUR
Sparkasse OÖ KAG 120.7800
18/06/2024
-0.13% +3.95% -13.13% -11.71% 0.05
5.14%
AustroMündelRent T
AT0000801246
reinvestment
EUR
Sparkasse OÖ KAG 110.7000
18/06/2024
+0.08% +3.94% -13.72% -15.68% 0.04
5.57%
ClassicBond A
AT0000497672
paying dividend
EUR
Sparkasse OÖ KAG 93.5300
18/06/2024
-0.14% +3.94% -13.12% -11.71% 0.05
5.13%
AustroMündelRent A
AT0000801253
paying dividend
EUR
Sparkasse OÖ KAG 61.2400
18/06/2024
+0.09% +3.94% -13.71% -15.70% 0.04
5.57%