1 |
LU1740660607 |
Allianz Global Floating Rate Notes Plus - P2 - USD |
+5,67 % |
+0,55 % |
6,78 |
2 |
LU1846711825 |
Allianz Global Floating Rate Notes Plus - W (H2-GBP) - GBP |
+5,59 % |
+0,54 % |
6,71 |
3 |
LU1860909420 |
Allianz Global Floating Rate Notes Plus - RM10 - USD |
+5,69 % |
+0,56 % |
6,70 |
4 |
LU1807156143 |
Allianz Global Floating Rate Notes Plus - PQ - USD |
+5,62 % |
+0,55 % |
6,66 |
5 |
LU1865151887 |
Allianz Global Floating Rate Notes Plus - P (H2-GBP) - GBP |
+5,43 % |
+0,54 % |
6,42 |
|
964 |
LU2837861371 |
BNP Paribas Funds Sustainable Global Corporate Bond Classic MD2 Distribution |
+5,73 % |
+3,52 % |
1,07 |
|
1373 |
LU1746179966 |
Capital Group Global Corporate Bond Fund (LUX) Zd EUR |
-2,54 % |
+7,89 % |
-0,57 |
1374 |
LU1746180113 |
Capital Group Global Corporate Bond Fund (LUX) Zgd EUR |
-2,50 % |
+8,02 % |
-0,56 |
1375 |
LU1510784512 |
Structured Solutions SICAV - Resource Income Fund A |
-2,63 % |
+7,42 % |
-0,62 |
1376 |
LU2211192583 |
Capital Group Global Corporate Bond Fund (LUX) ZLd CHF |
-6,09 % |
+9,02 % |
-0,89 |
1377 |
LU2826673803 |
Allianz Global Floating Rate Notes Plus - AMgi (H2-JPY) - JPY |
+0,50 % |
+0,61 % |
-2,40 |