Titel
ISIN
  Ertragstyp
Währung
Fondsgesellschaft Rückn. Preis
Datum
Perf. 3M Perf. 1J Perf. 3J Perf. 5J SR (1J)
Vola. (1J)
 
AXA WF-US Dynamic High Yield Bd.I U...
LU0998992639
thesaurierend
USD
AXA Fds. Management 184.6800
17.05.2024
+3.12% +15.69% +9.30% +36.44% 2.55
4.64%
AXA WF-US Dynamic High Yield Bd.F U...
LU1105450883
thesaurierend
USD
AXA Fds. Management 154.1700
17.05.2024
+3.08% +15.47% +8.68% +34.32% 2.51
4.64%
AXA WF Euro Credit Total Return M C...
LU1164224336
thesaurierend
EUR
AXA Fds. Management 153.6900
17.05.2024
+2.32% +11.66% +12.97% +33.89% 2.24
3.5%
AXA WF Euro Credit Total Return G C...
LU1527607953
thesaurierend
EUR
AXA Fds. Management 132.4200
17.05.2024
+2.25% +11.36% +12.06% +32.10% 2.16
3.5%
AXA WF-US Dynamic High Yield Bd.A U...
LU1105449950
thesaurierend
USD
AXA Fds. Management 165.8200
17.05.2024
+2.92% +14.77% +6.73% +30.35% 2.36
4.64%
AXA WF-US Dynamic High Yield Bd.U U...
LU1819503233
thesaurierend
USD
AXA Fds. Management 137.3200
17.05.2024
+2.92% +14.77% +6.72% +30.35% 2.36
4.64%
AXA WF-US Dynamic High Yield Bd.U U...
LU1819503316
ausschüttend
USD
AXA Fds. Management 90.4200
17.05.2024
+2.93% +14.77% +6.73% +30.34% 2.36
4.64%
AXA WF-Euro Credit Total Ret.F Cap ...
LU1164221589
thesaurierend
EUR
AXA Fds. Management 131.8200
17.05.2024
+2.15% +10.94% +10.82% +29.67% 2.04
3.5%
AXA WF-Euro Credit Total Ret.A Dis ...
LU1164219922
ausschüttend
EUR
AXA Fds. Management 116.9100
17.05.2024
+2.05% +10.50% +9.49% +27.11% 1.91
3.5%
AXA WF-Euro Credit Total Ret.A Cap ...
LU1164219682
thesaurierend
EUR
AXA Fds. Management 137.5400
17.05.2024
+2.05% +10.49% +9.48% +27.09% 1.90
3.5%
AXA WF Global Inflation Bonds I (H)...
LU0964938608
thesaurierend
USD
AXA Fds. Management 124.6900
17.05.2024
+2.57% +6.58% +18.35% +26.50% 1.02
2.7%
AXA WF-Global Infl.Bonds R.I Cap US...
LU1790048950
thesaurierend
USD
AXA Fds. Management 124.2700
17.05.2024
+2.69% +5.62% +16.94% +25.40% 0.59
3.04%
AXA WF-Global Infl.Bonds R.A Cap US...
LU1790047713
thesaurierend
USD
AXA Fds. Management 121.4800
17.05.2024
+2.57% +5.09% +15.54% +22.93% 0.41
3.04%
AXA WF-US Dynamic High Yield Bd.F E...
LU1105450966
thesaurierend
EUR
AXA Fds. Management 127.4100
17.05.2024
+2.67% +13.34% +2.52% +21.66% 2.07
4.6%
AXA WF US High Yield Bonds I Capita...
LU0276015889
thesaurierend
USD
AXA Fds. Management 297.8700
17.05.2024
+2.12% +10.46% +6.48% +21.20% 1.65
4.02%
AXA WF US High Yield Bonds I Distri...
LU0276015616
ausschüttend
USD
AXA Fds. Management 90.1300
17.05.2024
+2.12% +10.46% +6.48% +21.19% 1.65
4.02%
AXA WF-US H.Y.B.I Dis USD
LU1481594320
ausschüttend
USD
AXA Fds. Management 92.5100
17.05.2024
+2.10% +10.45% +6.47% +21.19% 1.65
4.02%
AXA WF-Global Infl.Bonds R.I Cap GB...
LU1790049255
thesaurierend
GBP
AXA Fds. Management 118.2200
17.05.2024
+2.60% +5.07% +15.15% +21.03% 0.41
3.03%
AXA IM FIIS Europe Sh.D.H.Y.A USD H
LU0658025548
thesaurierend
USD
AXA Fds. Management 180.4300
17.05.2024
+1.46% +8.65% +12.56% +20.97% 4.16
1.16%
AXA WF US High Yield Bonds F Capita...
LU0276015533
thesaurierend
USD
AXA Fds. Management 287.6400
17.05.2024
+2.07% +10.25% +5.86% +20.05% 1.60
4.02%
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