| 1 | 
    IE000BPMW3M5 | 
    Principal Global Investors Funds - Finisterre Emerging Markets Debt Euro Income Fund X Inc USD H | 
    +12,24 % | 
    +2,24 % | 
    4,58 | 
    
    | 2 | 
    IE00BLB2CC78 | 
    Principal Global Investors Funds - Finisterre Emerging Markets Debt Euro Income Fund US Dollar Hedged I Class Accumulation Units | 
    +11,43 % | 
    +2,23 % | 
    4,22 | 
    
    | 3 | 
    IE000IWMG1L5 | 
    PIMCO Funds - Global Investors Series plc - PIMCO Emerging Markets Opportunities Fund Institutional GBP (Partially Hedged) Income | 
    +18,59 % | 
    +4,21 % | 
    3,94 | 
    
    | 4 | 
    LU2607332819 | 
    Morgan Stanley Investment Funds Emerging Markets Debt Opportunities Fund ZR | 
    +14,55 % | 
    +3,22 % | 
    3,90 | 
    
    | 5 | 
    LU1210452659 | 
    JSS Bond - Emerging Markets Short-term Y USD dist | 
    +6,83 % | 
    +1,27 % | 
    3,77 | 
    
                    
                        | 
                            
                         | 
                    
    | 17 | 
    LU2607332736 | 
    Morgan Stanley Investment Funds Emerging Markets Debt Opportunities Fund ZHR (EUR) | 
    +12,28 % | 
    +3,21 % | 
    3,20 | 
    
                    
                        | 
                            
                         | 
                    
    | 659 | 
    LU2673940917 | 
    onemarkets J.P. Morgan Emerging Markets Short Term Bond Fund CD | 
    -0,39 % | 
    +7,92 % | 
    -0,31 | 
    
    | 660 | 
    LU1603213775 | 
    Eurizon Fund II - Emerging Bond Total Return RD EUR Distribution | 
    +1,03 % | 
    +2,75 % | 
    -0,37 | 
    
    | 661 | 
    LU2643232668 | 
    Eurizon Fund II - Emerging Bond Total Return CD EUR Distribution | 
    +0,66 % | 
    +2,76 % | 
    -0,50 | 
    
    | 662 | 
    IE00BYXZ2Y79 | 
    Man Global Emerging Markets Debt Total Return IMF USD Net-Dist A | 
    -1,70 % | 
    +2,84 % | 
    -1,32 | 
    
    | 663 | 
    IE00BDB77768 | 
    Man Global Emerging Markets Debt Total Return IMF H EUR Net-Dist A | 
    -3,62 % | 
    +2,86 % | 
    -1,98 |