Titel
ISIN
  Ertragstyp
Währung
Fondsgesellschaft Rückn. Preis
Datum
Perf. 3M Perf. 1J Perf. 3J Perf. 5J SR (1J)
Vola. (1J)
 
Goldman Sachs Global Fixed Income P...
LU0280841619
thesaurierend
EUR
Goldman Sachs AM BV 17.6700
07.06.2024
-0.51% +1.20% -6.61% -2.27% -0.49
5.21%
GS E.M.Debt Local Pf.E EUR
LU0616879804
ausschüttend
EUR
Goldman Sachs AM BV 6.1900
07.06.2024
-1.67% +1.44% -1.20% -2.30% -0.39
5.93%
Goldman Sachs Emerging Markets Debt...
LU0302284640
thesaurierend
EUR
Goldman Sachs AM BV 12.4900
07.06.2024
-1.73% +1.38% -1.19% -2.35% -0.41
5.73%
Goldman Sachs Emerging Markets Debt...
LU0302284566
ausschüttend
EUR
Goldman Sachs AM BV 6.1700
07.06.2024
-1.59% +1.43% -1.17% -2.39% -0.40
5.83%
Goldman Sachs Euro Short Duration B...
LU0997587919
thesaurierend
EUR
Goldman Sachs AM BV 9.9300
07.06.2024
+0.51% +3.55% -2.26% -2.46% -0.12
1.7%
GS Gl.Yield Opp.N EUR
LU0953791927
thesaurierend
EUR
Goldman Sachs AM BV 26.5600
07.06.2024
+0.80% +7.18% -7.36% -2.53% 0.96
3.58%
Goldman Sachs Emerging Markets Debt...
LU0546916452
thesaurierend
USD
Goldman Sachs AM BV 47.5100
07.06.2024
-0.69% +1.80% -5.13% -2.60% -0.41
4.74%
GS USD Credit I EUR
LU0803997666
thesaurierend
EUR
Goldman Sachs AM BV 6'051.3198
07.06.2024
-0.66% +3.79% -13.92% -2.62% 0.00
7.15%
Goldman Sachs Euro Credit - V Cap E...
LU0555026680
thesaurierend
EUR
Goldman Sachs AM BV 148.3000
07.06.2024
+0.11% +6.09% -6.95% -2.81% 0.64
3.65%
Goldman Sachs US Mortgage Backed Se...
LU0154845191
ausschüttend
USD
Goldman Sachs AM BV 8.4900
07.06.2024
-0.24% +1.87% -9.32% -2.87% -0.26
7.37%
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