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)
 
GS Global Infrastructure Equ.PF Ba....
LU1512665685
reinvestment
USD
Goldman Sachs AM BV 13.6000
07/06/2024
+2.41% +2.33% -6.34% - -0.11
13.5%
GS Glob.Sust.Eq.Z EUR
LU0555029197
reinvestment
EUR
Goldman Sachs AM BV 23,185.1406
07/06/2024
+3.64% +18.65% +29.50% +110.67% 1.37
10.85%
GS Glob.Sust.Eq.X CZK H
LU1542713687
reinvestment
CZK
Goldman Sachs AM BV 33,752.8906
07/06/2024
+3.42% +19.11% +34.87% - 1.42
10.84%
GS Glob.Sust.Eq.V EUR
LU0394658412
reinvestment
EUR
Goldman Sachs AM BV 573.1100
07/06/2024
+3.24% +16.89% +24.52% - 1.21
10.85%
GS Glob.Sust.Eq.T EUR
LU1687288321
paying dividend
EUR
Goldman Sachs AM BV 45.1300
24/04/2024
+4.32% +17.40% +23.08% +96.12% 1.19
11.36%
GS Glob.Sust.Eq.R USD
LU1673807787
reinvestment
USD
Goldman Sachs AM BV 461.9900
07/06/2024
+2.31% +18.81% +12.67% - 1.31
11.51%
GS Glob.Sust.Eq.R EUR
LU1673807860
paying dividend
EUR
Goldman Sachs AM BV 46.5800
07/06/2024
+3.42% +17.66% +27.02% +103.17% 1.28
10.86%
GS Glob.Sust.Eq.R EUR
LU1673807605
reinvestment
EUR
Goldman Sachs AM BV 544.1100
07/06/2024
+3.42% +17.66% +27.01% +103.15% 1.28
10.85%
GS Glob.Sust.Eq.N EUR
LU0800559436
reinvestment
EUR
Goldman Sachs AM BV 84.0400
07/06/2024
+3.50% +18.03% +28.25% +106.49% 1.32
10.85%
GS Glob.Sust.Eq.M EUR
LU1687288248
reinvestment
EUR
Goldman Sachs AM BV 690.8600
07/06/2024
+3.35% +17.37% +26.09% +100.76% 1.26
10.85%
GS Glob.Sust.Eq.I USD
LU2016010964
reinvestment
USD
Goldman Sachs AM BV 9,388.8398
07/06/2024
+2.37% +19.09% +13.49% - 1.33
11.51%
GS Glob.Sust.Eq.I EUR H
LU1938548184
reinvestment
EUR
Goldman Sachs AM BV 9,536.3096
07/06/2024
+2.66% +17.43% +13.14% - 1.26
10.89%
GS Glob.Eq.Inc.Y USD
LU1028812730
paying dividend
USD
Goldman Sachs AM BV 269.9300
07/06/2024
+1.24% +11.46% +9.19% +30.37% 0.89
8.62%
GS Glob.Eq.Inc.Y AUD H
LU1028812490
paying dividend
AUD
Goldman Sachs AM BV 278.3600
07/06/2024
+1.54% +9.86% +9.73% - 0.82
7.42%
GS Glob.Eq.Inc.X USD
LU0205423220
reinvestment
USD
Goldman Sachs AM BV 666.1300
07/06/2024
+1.50% +12.55% +12.97% +45.00% 1.02
8.62%
GS Glob.Eq.Inc.X USD
LU0976924166
paying dividend
USD
Goldman Sachs AM BV 310.8000
07/06/2024
+1.50% +12.57% +12.96% +44.97% 1.02
8.62%
GS Glob.Eq.Inc.X HUF
LU0509951355
reinvestment
HUF
Goldman Sachs AM BV 190,140.5781
07/06/2024
+1.52% +18.46% +43.82% - 1.38
10.65%
GS Glob.Eq.Inc.X EUR
LU0804001013
paying dividend
EUR
Goldman Sachs AM BV 424.6700
07/06/2024
+2.60% +11.48% +27.32% - 1.05
7.38%
GS Glob.Eq.Inc.X AUD H
LU0976924240
paying dividend
AUD
Goldman Sachs AM BV 317.7800
07/06/2024
+1.83% +11.24% +13.10% - 1.01
7.38%
GS Glob.Eq.Inc.R EUR
LU1703072832
reinvestment
EUR
Goldman Sachs AM BV 415.4900
07/06/2024
+2.92% +12.89% +32.20% +61.81% 1.24
7.38%
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