NAV31.10.2024 Diff.-0.0048 Ertragstyp Ausrichtung Fondsgesellschaft
9.6191EUR -0.05% thesaurierend Anleihen Aegon AM 
     
Chart for Aegon Europ.Governm.Bd.I EUR
  Titel   ISIN Performance Volatilität Sharpe Ratio
1. DB Moderado ESGA FI ES0145553006 +14.47% 4.04% 2.84
2. Allianz Obbligazioni Euro Breve Termine - B - EUR IT0003624498 +3.77% 0.34% 2.09
3. Allianz Obbligazioni Euro Breve Termine - A - EUR IT0003624472 +3.77% 0.35% 2.03
4. BlueBay Inv.Gr.Euro Gov.Bd.I USD H LU0549539921 +11.86% 4.67% 1.88
5. BlueBay Inv.Gr.Euro Gov.Bd.Q USD H LU1170328097 +10.32% 4.68% 1.55
6. BlueBay Inv.Gr.Euro Gov.Bd.M USD LU0720466332 +10.05% 4.67% 1.50
7. BlueBay Inv.Gr.Euro Gov.Bd.B USD H LU0549537719 +9.96% 4.68% 1.47
8. BlueBay Inv.Gr.Euro Gov.Bd.R USD H LU0549537982 +9.67% 4.68% 1.42
9. BlueBay Inv.Gr.Euro Gov.Bd.R GBP H LU0996593439 +9.17% 4.68% 1.31
10. BlueBay Inv.Gr.Euro Gov.Bd.S EUR LU0995160891 +8.48% 4.67% 1.16
...
29. Aegon Europ.Governm.Bd.I EUR IE00BZCNTX72 +8.00% 5.15% 0.96