1 |
LU1740660607 |
Allianz Global Floating Rate Notes Plus - P2 - USD |
+5,67 % |
+0,55 % |
6,70 |
2 |
LU1846711825 |
Allianz Global Floating Rate Notes Plus - W (H2-GBP) - GBP |
+5,60 % |
+0,54 % |
6,64 |
3 |
LU1860909420 |
Allianz Global Floating Rate Notes Plus - RM10 - USD |
+5,69 % |
+0,56 % |
6,62 |
4 |
LU1807156143 |
Allianz Global Floating Rate Notes Plus - PQ - USD |
+5,63 % |
+0,55 % |
6,58 |
5 |
LU1865151887 |
Allianz Global Floating Rate Notes Plus - P (H2-GBP) - GBP |
+5,45 % |
+0,54 % |
6,35 |
|
96 |
AT0000A23QM8 |
I-AM Crossover Bonds (R) (A-Ausland) |
+5,31 % |
+1,07 % |
3,08 |
|
1348 |
LU1510784512 |
Structured Solutions SICAV - Resource Income Fund A |
-1,79 % |
+7,14 % |
-0,53 |
1349 |
AT0000724257 |
ERSTE BOND DOLLAR CORPORATE EUR R01 (A) |
-2,63 % |
+8,39 % |
-0,55 |
1350 |
LU2353366854 |
Goldman Sachs US Dollar Credit - P Dis EUR |
-2,86 % |
+8,57 % |
-0,57 |
1351 |
LU1380459195 |
Vontobel Fund - TwentyFour Absolute Return Credit Fund AH (hedged) CHF |
+1,13 % |
+1,11 % |
-0,79 |
1352 |
LU2826673803 |
Allianz Global Floating Rate Notes Plus - AMgi (H2-JPY) - JPY |
+0,44 % |
+0,61 % |
-2,58 |