Nombre
ISIN
  Tipo de beneficio
Divisa
Sociedad de fondos Prec. de rescate
Fecha
Rendimiento 3 meses Rendimiento 1 año Rendimiento 3 años Rendimiento 5 años SR (1A)
Volatilidad (1A)
 
BIL Invest Equities Emerging Market...
LU1689734462
reinvestment
USD
BIL Manage Invest 1,499.0699
27/09/2024
+8.04% +24.86% - - 1.70
12.68%
BIL Invest Equities Emerging Market...
LU1689734546
reinvestment
USD
BIL Manage Invest 147.2200
27/09/2024
+7.87% +24.08% -6.09% +18.25% 1.64
12.68%
BIL Invest Equities Europe I EUR Ca...
LU1689735196
reinvestment
EUR
BIL Manage Invest 2,009.8000
30/09/2024
-0.20% +15.97% - - 1.17
10.88%
BIL Invest Equities Europe P Cap
LU1689735279
reinvestment
EUR
BIL Manage Invest 197.7800
30/09/2024
-0.38% +15.12% +21.37% +37.80% 1.09
10.88%
BIL Invest Equities Japan I JPY Cap
LU1689733902
reinvestment
JPY
BIL Manage Invest 236,483.0000
27/09/2024
-5.06% +13.07% - - 0.52
18.87%
BIL Invest Equities Japan P JPY Cap
LU1689734033
reinvestment
JPY
BIL Manage Invest 23,206.0000
27/09/2024
-5.22% +12.30% +22.28% +60.94% 0.48
18.87%
BIL Invest Equities US I USD Cap
LU1689735600
reinvestment
USD
BIL Manage Invest 3,007.8101
27/09/2024
+4.32% +33.86% - - 2.88
10.59%
BIL Invest Equities US P EUR Hedged...
LU1917566736
reinvestment
EUR
BIL Manage Invest 209.8300
27/09/2024
+3.64% +30.61% - - 2.59
10.53%
BIL Invest Equities US P USD Cap
LU1689735782
reinvestment
USD
BIL Manage Invest 294.1200
27/09/2024
+4.17% +33.09% +24.28% +87.40% 2.81
10.59%
BIL Invest Equities US P USD Dis
LU1689735865
paying dividend
USD
BIL Manage Invest 273.5400
27/09/2024
+4.17% +33.10% - +82.91% 2.81
10.58%