Titel
ISIN
  Ertragstyp
Währung
Fondsgesellschaft Rückn. Preis
Datum
Perf. 3M Perf. 1J Perf. 3J Perf. 5J SR (1J)
Vola. (1J)
 
PGIM Absolute Return Bond Fund EUR-...
IE00BDDN6J76
thesaurierend
EUR
PGIM FUNDS 101.8530
21.05.2024
- - - - -
-
PGIM Absolute Return Bond Fund EUR-...
IE00BD1DGQ66
thesaurierend
EUR
PGIM FUNDS 107.4250
22.05.2024
+1.65% +8.22% +4.55% +6.26% 4.43
0.99%
PGIM Absolute Return Bond Fund USD ...
IE00BD1DGS80
thesaurierend
USD
PGIM FUNDS 111.2300
22.05.2024
+2.00% +10.00% +9.57% - 6.22
0.99%
PGIM Absolute Return Bond Fund USD ...
IE00BG36TJ80
thesaurierend
USD
PGIM FUNDS 118.5630
22.05.2024
+1.97% +9.83% +9.43% +15.14% 6.06
0.99%
PGIM Wadhwani Keynes Systematic Abs...
IE00BJV2K296
thesaurierend
EUR
PGIM FUNDS 115.7830
20.05.2024
- - - - -
-
PGIM Wadhwani Keynes Systematic Abs...
IE00BJV2JM22
thesaurierend
EUR
PGIM FUNDS 111.7350
21.05.2024
+1.69% +1.82% +7.50% - -0.37
5.45%
PGIM Wadhwani Keynes Systematic Abs...
IE00BKV0Q773
ausschüttend
EUR
PGIM FUNDS 101.2540
20.05.2024
- - - - -
-
PGIM Wadhwani Keynes Systematic Abs...
IE00BJV2JX37
thesaurierend
EUR
PGIM FUNDS 110.9860
21.05.2024
+1.65% +1.67% +7.09% - -0.39
5.45%
PGIM Wadhwani Keynes Systematic Abs...
IE00BJV2K304
thesaurierend
USD
PGIM FUNDS 122.5130
21.05.2024
+1.84% +2.67% +9.99% - -0.21
5.47%
PGIM Wadhwani Keynes Systematic Abs...
IE00BJV2JR76
thesaurierend
USD
PGIM FUNDS 119.5510
21.05.2024
+2.03% +3.43% +12.45% - -0.07
5.46%
PGIM Wadhwani Keynes Systematic Abs...
IE00BJV2JZ50
thesaurierend
USD
PGIM FUNDS 119.1850
21.05.2024
+1.99% +3.43% +12.14% - -0.07
5.47%