Titel
ISIN
  Ertragstyp
Währung
Fondsgesellschaft Rückn. Preis
Datum
Perf. 3M Perf. 1J Perf. 3J Perf. 5J SR (1J)
Vola. (1J)
 
F.High Yield Fd.N EUR
LU1691812330
thesaurierend
EUR
Franklin Templeton 12,8800
23.05.2024
+1,74% +10,09% +16,98% +20,15% 1,09
5,74%
F.High Yield Fd.N USD
LU0889566138
ausschüttend
USD
Franklin Templeton 6,8800
23.05.2024
+1,65% +10,56% +3,50% +16,10% 1,55
4,35%
F.High Yield Fd.W USD
LU1586275155
ausschüttend
USD
Franklin Templeton 8,7500
23.05.2024
+1,92% +11,83% +7,29% +23,19% 1,90
4,23%
F.High Yield Fd.W USD
LU2166124771
thesaurierend
USD
Franklin Templeton 12,4100
23.05.2024
+1,89% +11,80% - - 1,93
4,14%
F.High Yield Fd.Y USD
LU1244548910
ausschüttend
USD
Franklin Templeton 8,8800
23.05.2024
+2,03% +12,75% +10,08% - 2,11
4,24%
F.High Yield Fd.Z USD
LU0563143188
ausschüttend
USD
Franklin Templeton 7,9500
23.05.2024
+1,81% +11,53% +6,60% - 1,83
4,21%
F.K2 Cat B.UCITS Fd.EB
LU2303826460
thesaurierend
USD
Franklin Templeton 11,9100
23.05.2024
+1,36% +11,62% +19,10% - 5,48
1,42%
F.K2 Cat B.UCITS Fd.EB H1
LU2303826544
thesaurierend
EUR
Franklin Templeton 11,3600
23.05.2024
+0,98% +9,86% +13,60% - 4,42
1,37%
F.K2 Cat B.UCITS Fd.EO
LU2303826627
thesaurierend
USD
Franklin Templeton 11,8600
23.05.2024
+1,37% +11,47% +18,60% - 5,23
1,46%
F.K2 Cat B.UCITS Fd.EO H1
LU2303826890
thesaurierend
EUR
Franklin Templeton 11,3000
23.05.2024
+0,98% +9,71% +13,00% - 4,10
1,44%
F.K2 Cat B.UCITS Fd.I
LU2303826973
thesaurierend
USD
Franklin Templeton 11,7800
23.05.2024
+1,20% +11,24% +17,80% - 5,39
1,38%
F.K2 Cat B.UCITS Fd.I H1
LU2303827195
thesaurierend
EUR
Franklin Templeton 11,2000
23.05.2024
+0,90% +9,38% +12,00% - 3,78
1,47%
F.K2 Cat B.UCITS Fd.Y
LU2303827351
thesaurierend
USD
Franklin Templeton 12,0900
23.05.2024
+1,51% +12,26% +20,90% - 6,02
1,4%
F.Lib.USD Inv.G.C.B.UCITS ETF USD
IE00BFWXDX52
ausschüttend
USD
Franklin Templeton 23,7100
23.05.2024
+0,21% +4,58% -8,96% +3,58% 0,11
6,95%
F.Strategic Inc.Fd.A-H1 AUD H
LU0889565593
ausschüttend
AUD
Franklin Templeton 7,0100
23.05.2024
+0,17% +3,44% -7,53% -4,81% -0,09
4,21%
F.Strategic Inc.Fd.A-H1 EUR H
LU0889566484
ausschüttend
EUR
Franklin Templeton 5,8800
23.05.2024
+0,15% +3,04% -9,74% -6,53% -0,18
4,31%
F.Strategic Inc.Fd.A-H1 PLN
LU1992939741
ausschüttend
PLN
Franklin Templeton 8,3200
23.05.2024
+0,60% +5,79% -0,21% - 0,47
4,15%
F.Strategic Inc.Fd.A-H1 SGD H
LU1162222480
ausschüttend
SGD
Franklin Templeton 6,8100
23.05.2024
+0,16% +3,23% -6,49% - -0,14
4,27%
F.Strategic Inc.Fd.C USD
LU1586272137
thesaurierend
USD
Franklin Templeton 10,3300
23.05.2024
+0,39% +4,34% - - 0,12
4,22%
F.Strategic Inc.Fd.F USD
LU2054478065
ausschüttend
USD
Franklin Templeton 7,7800
23.05.2024
+0,25% +4,00% -6,72% - 0,04
4,32%
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