| 1 |
LU2020654658 |
BNP PARIBAS FLEXI I ABSOLUTE RETURN CONVERTIBLE I Capitalisation |
+7,13 % |
+1,02 % |
5,00 |
| 2 |
IE00BJQR5S01 |
BNY Mellon Absolute Return Global Convertible Fund Sterling X (Acc.) (hedged) |
+14,65 % |
+3,20 % |
3,95 |
| 3 |
IE00BJQR5M49 |
BNY Mellon Absolute Return Global Convertible Fund Sterling F (Acc.) (hedged) |
+12,75 % |
+2,75 % |
3,90 |
| 4 |
IE00BJQR5G88 |
BNY Mellon Absolute Return Global Convertible Fund Sterling U (Acc.) (hedged) |
+12,35 % |
+2,74 % |
3,77 |
| 5 |
LU2020654229 |
BNP PARIBAS FLEXI I ABSOLUTE RETURN CONVERTIBLE Privilege Capitalisation |
+6,91 % |
+1,35 % |
3,62 |
|
|
| 83 |
LU0396331836 |
UBS (Lux) Bond SICAV - Convert Global (EUR), Anteilsklasse I-A1-acc, EUR |
+16,15 % |
+7,04 % |
2,00 |
|
|
| 405 |
DE000A3D6ZR6 |
SQUAD 4 Convertibles - Seeder |
-1,75 % |
+8,43 % |
-0,45 |
| 406 |
DE000A3D6ZS4 |
SQUAD 4 Convertibles - Insti (EUR) |
-2,00 % |
+8,44 % |
-0,48 |
| 407 |
DE000A3D6ZU0 |
SQUAD 4 Convertibles - Retail (EUR) |
-2,77 % |
+8,46 % |
-0,57 |
| 408 |
LI0248699311 |
CoCo Alpha Bond Fund Class R USD |
-0,92 % |
+2,76 % |
-1,07 |
| 409 |
LI0248699295 |
CoCo Alpha Bond Fund Class R EUR |
-2,74 % |
+2,73 % |
-1,75 |