GS USD Treasury Liquid Res.Fd.Inst.USD
IE00B2Q5LW12
GS USD Treasury Liquid Res.Fd.Inst.USD/ IE00B2Q5LW12 /
NAV 29.05.2024
Diff.+3,2998
Ertragstyp
Ausrichtung
Fondsgesellschaft
11.594,7002 USD
+0,03%
thesaurierend
Geldmarkt
Goldman Sachs AM ▶
Zeitraum: 6 Monate 1 Jahr 2 Jahre 3 Jahre 5 Jahre
Anzahl an Fonds: 10 20 50
Titel
ISIN
Performance
Volatilität
Sharpe Ratio
1.
BlackRock ICS US Tr.Fd.A.USD
IE00B44K4783
+5,45%
0,19%
8,71
2.
BlackRock ICS US Tr.Fd.P.USD
IE00B45H7020
+5,37%
0,19%
8,43
3.
BlackRock ICS US Tr.Fd.H.USD
IE00B95PH019
+5,35%
0,19%
8,33
4.
GS USD Treasury Liquid Res.Fd.X.USD
IE00BL0BL843
+5,50%
0,21%
8,30
5.
GS USD Treasury Liquid Res.Fd.X.USD
IE000CO6MYG7
+5,48%
0,21%
8,22
6.
UBS (Irl) Select Money Market Fund - US Treasury Premier (Acc.)
IE00BFZQ2L28
+5,41%
0,20%
8,08
7.
BlackRock ICS US Tr.Fd.C.USD
IE00B3KDBK68
+5,27%
0,18%
8,02
8.
BlackRock ICS US Tr.Fd.G USD
IE00B3KDBH30
+5,27%
0,18%
8,02
9.
JPM USD Treasury CNAV E (acc.)
LU1873132796
+5,38%
0,20%
7,97
10.
JPM USD Treasury CNAV Capital (acc.)
LU1873132440
+5,32%
0,20%
7,77
...
20.
GS USD Treasury Liquid Res.Fd.Inst.USD
IE00B2Q5LW12
+5,29%
0,20%
7,57