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)
 
BGF FinTech Fund C2 USD
LU2357541775
reinvestment
USD
BlackRock (LU) 6.1000
19/09/2024
+9.32% +19.61% -36.19% - 0.81
19.95%
BGF FinTech Fund I2 EUR H
LU1917164003
reinvestment
EUR
BlackRock (LU) 12.8700
19/09/2024
+9.25% +19.50% -38.07% +8.33% 0.81
19.78%
BGF European Value Fund A2 USD
LU0171281750
reinvestment
USD
BlackRock (LU) 116.7400
19/09/2024
+9.18% +25.08% +27.79% +67.56% 1.55
13.96%
BGF Global Listed Infrastructure Fu...
LU2790878016
reinvestment
GBP
BlackRock (LU) 8.9400
19/09/2024
+9.16% - - - -
-
BGF Latin American F.I2 USD
LU1847653067
reinvestment
USD
BlackRock (LU) 11.9300
19/09/2024
+9.15% -2.93% +22.23% +2.14% -0.30
21.41%
BGF World Financials Fund S2 USD
LU2624961475
reinvestment
USD
BlackRock (LU) 14.2100
19/09/2024
+9.14% +35.59% - - 1.85
17.4%
BGF FinTech Fund D2 EUR H
LU1861217757
reinvestment
EUR
BlackRock (LU) 11.1200
19/09/2024
+9.13% +19.19% -38.53% +6.92% 0.80
19.71%
BGF World Financials Fund D2 USD
LU0329593262
reinvestment
USD
BlackRock (LU) 56.4900
19/09/2024
+9.08% +35.34% +28.56% +82.11% 1.83
17.42%
BGF FinTech Fund A2 SGD H
LU1861220207
reinvestment
SGD
BlackRock (LU) 11.5600
19/09/2024
+9.06% +18.44% -37.24% - 0.76
19.81%
BGF European Value Fund E2 USD
LU0171281834
reinvestment
USD
BlackRock (LU) 104.9400
19/09/2024
+9.04% +24.45% +25.89% +63.41% 1.50
13.94%
BGF Latin American F.D2 GBP H
LU0827884411
reinvestment
GBP
BlackRock (LU) 42.3200
19/09/2024
+9.02% -3.93% +16.65% -6.12% -0.35
21.45%
BGF Latin American F.D2 PLN H
LU0827884338
reinvestment
PLN
BlackRock (LU) 9.2000
19/09/2024
+9.00% -3.87% +22.02% -2.85% -0.34
21.46%
BGF Latin American Fund D2 USD
LU0252970081
reinvestment
USD
BlackRock (LU) 77.7700
19/09/2024
+8.98% -3.20% +21.23% +0.73% -0.31
21.43%
BGF FinTech Fund A2 EUR H
LU1861217674
reinvestment
EUR
BlackRock (LU) 10.5900
19/09/2024
+8.95% +18.19% -40.00% +2.62% 0.74
19.88%
BGF World Financials Fund A10 USD
LU2533724519
paying dividend
USD
BlackRock (LU) 14.3400
19/09/2024
+8.93% +34.43% - - 1.77
17.49%
iShares Pacific ex Japan Eq.In.Fd.(...
LU0826446956
reinvestment
USD
BlackRock (LU) 175.9200
19/09/2024
+8.92% +20.73% +11.58% - 1.19
14.56%
iShares Pacific ex Japan Eq.In.Fd.(...
LU0960942059
paying dividend
USD
BlackRock (LU) 144.6900
19/09/2024
+8.89% +20.56% +11.09% - 1.17
14.55%
iShares Pacific ex Japan Eq.In.Fd.(...
LU0836514314
reinvestment
USD
BlackRock (LU) 172.8200
19/09/2024
+8.88% +20.55% +11.08% - 1.17
14.55%
iShares Pacific ex Japan Eq.In.Fd.(...
LU0836515717
reinvestment
USD
BlackRock (LU) 172.2500
19/09/2024
+8.88% +20.52% +10.99% - 1.17
14.55%
iShares Pacific ex Japan Eq.In.Fd.(...
LU1811364725
reinvestment
USD
BlackRock (LU) 129.9200
19/09/2024
+8.87% +20.51% +10.98% +26.80% 1.17
14.55%
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