Название
ISIN
  Тип доходности
Валюта
Инвестиционная компания Цена выкупа
Дата
Перф. 3M Перф. 1Р Перф. 3Г Перф. 5Г SR (1Г)
Vola. (1Г)
 
LLB Wandelanleihen ESG Klasse H USD
LI0290911630
reinvestment
USD
LLB Fund Services 129.7100
22.07.2024
+5.97% +3.78% -1.11% +10.62% 0.02
6.28%
LLB Wandelanleihen ESG Klasse LLB
LI0028614688
reinvestment
EUR
LLB Fund Services 151.9800
22.07.2024
+5.70% +3.43% -2.96% +6.60% -0.04
6.13%
Valex Global Convertibles Fund Defe...
LI0211146811
reinvestment
EUR
LLB Fund Services 102.6900
22.07.2024
+1.44% +1.66% -7.20% +2.75% -0.56
3.59%
LLB Wandelanleihen ESG Klasse H EUR
LI0028614704
reinvestment
EUR
LLB Fund Services 128.3200
22.07.2024
+5.47% +2.63% -5.59% +1.78% -0.17
6.15%
LLB Obligationen USD ESG
LI0013255679
reinvestment
USD
LLB Fund Services 248.3600
22.07.2024
+3.32% +3.18% -8.51% -1.21% -0.08
6.44%
Valex Global Convertibles Fund Defe...
LI0316449755
reinvestment
CHF
LLB Fund Services 101.3500
22.07.2024
+0.55% -1.17% -10.74% -1.70% -1.35
3.61%
LLB Obligationen CHF ESG Klasse LLB
LI0028759798
reinvestment
CHF
LLB Fund Services 1,300.0500
22.07.2024
+1.44% +5.57% -1.99% -1.75% 0.98
1.93%
LLB Obligationen Inflation Linked E...
LI0028614787
reinvestment
USD
LLB Fund Services 147.4200
22.07.2024
+3.37% +2.45% -14.18% -1.80% -0.21
5.93%
LLB Obligationen Global ESG Klasse ...
LI0290911549
reinvestment
USD
LLB Fund Services 109.0000
22.07.2024
+2.01% +3.15% -6.17% -1.93% -0.12
4.27%
LLB Obligationen Inflation Linked E...
LI0290911598
reinvestment
USD
LLB Fund Services 111.6000
22.07.2024
+1.91% +2.61% -11.48% -2.85% -0.21
5.11%
LLB Wandelanleihen ESG Klasse H CHF
LI0290911622
reinvestment
CHF
LLB Fund Services 103.6000
22.07.2024
+4.86% +0.39% -8.68% -2.86% -0.54
6.17%
LLB Obligationen Global ESG Klasse ...
LI0028614639
reinvestment
EUR
LLB Fund Services 96.8100
22.07.2024
+0.26% +3.18% -5.52% -3.86% -0.10
5.18%
LLB Obligationen CHF ESG Klasse T
LI0013255695
reinvestment
CHF
LLB Fund Services 148.6500
22.07.2024
+1.29% +4.94% -3.57% -4.19% 0.65
1.94%
LLB Obligationen CHF ESG Klasse A
LI0032543303
paying dividend
CHF
LLB Fund Services 127.5000
22.07.2024
+1.31% +4.93% -3.65% -4.27% 0.64
1.97%
LLB Obligationen Inflation Linked E...
LI0028614878
reinvestment
USD
LLB Fund Services 127.1900
22.07.2024
+3.16% +1.69% -16.08% -5.39% -0.34
5.94%
LLB Obligationen Global ESG Klasse ...
LI0009163713
reinvestment
EUR
LLB Fund Services 82.4200
22.07.2024
+0.07% +2.37% -7.74% -7.58% -0.25
5.18%
LLB Obligationen Global ESG Klasse ...
LI0290911523
reinvestment
EUR
LLB Fund Services 95.2200
22.07.2024
+1.50% +2.05% -9.81% -8.29% -0.40
4.13%
LLB Obligationen Inflation Linked E...
LI0290911580
reinvestment
EUR
LLB Fund Services 94.6900
22.07.2024
+1.37% +1.08% -14.99% -9.73% -0.52
5.05%
LLB Obligationen EUR ESG Klasse T
LI0013255687
reinvestment
EUR
LLB Fund Services 103.0000
22.07.2024
+0.81% +3.83% -12.10% -10.99% 0.05
3.39%
LLB Obligationen EUR ESG Klasse A
LI0032550647
paying dividend
EUR
LLB Fund Services 73.8400
22.07.2024
+0.82% +3.82% -12.10% -11.00% 0.04
3.4%