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)
 
Mirabaud - DM Fixed Maturity 2029 -...
LU2699049842
reinvestment
EUR
Mirabaud AM (EU) 104.0200
11/11/2024
+1.85% - - - -
-
Mirabaud - DM Fixed Maturity 2029 -...
LU2699051400
reinvestment
EUR
Mirabaud AM (EU) 104.2700
11/11/2024
+1.97% - - - -
-
Mirabaud - DM Fixed Maturity 2029 -...
LU2699051236
reinvestment
EUR
Mirabaud AM (EU) 104.2400
11/11/2024
+1.96% - - - -
-
Mirabaud - DM Fixed Maturity 2029 -...
LU2699050931
paying dividend
EUR
Mirabaud AM (EU) 102.9000
11/11/2024
+1.95% - - - -
-
Mirabaud - Global Emerging Market B...
LU1705558051
paying dividend
USD
Mirabaud AM (EU) 70.2800
11/11/2024
+2.82% +12.28% -3.91% -2.70% 1.70
5.49%
Mirabaud - Global Emerging Market B...
LU1705558564
reinvestment
CHF
Mirabaud AM (EU) 82.3400
11/11/2024
+1.69% +7.52% -14.14% -16.00% 0.82
5.49%
Mirabaud - Global Emerging Market B...
LU1705558135
reinvestment
EUR
Mirabaud AM (EU) 87.2300
11/11/2024
+2.35% +10.22% -10.16% -11.65% 1.32
5.48%
Mirabaud - Global Emerging Market B...
LU1705558309
reinvestment
GBP
Mirabaud AM (EU) 94.3200
11/11/2024
+2.72% +11.78% -6.24% -6.70% 1.61
5.47%
Mirabaud - Global Emerging Market B...
LU1705558648
paying dividend
CHF
Mirabaud AM (EU) 56.6900
11/11/2024
+1.69% +7.50% -14.15% -16.00% 0.82
5.5%
Mirabaud - Global Emerging Market B...
LU1705558218
paying dividend
EUR
Mirabaud AM (EU) 60.1000
11/11/2024
+2.34% +10.23% -10.15% -11.65% 1.32
5.49%
Mirabaud - Global Emerging Market B...
LU1705560032
reinvestment
USD
Mirabaud AM (EU) 106.8400
11/11/2024
+2.99% +13.05% -1.95% +0.62% 1.83
5.5%
Mirabaud - Global Emerging Market B...
LU1705560206
reinvestment
EUR
Mirabaud AM (EU) 91.4800
11/11/2024
+2.52% +10.97% -8.31% -8.61% 1.46
5.48%
Mirabaud - Global Emerging Market B...
LU1708489429
reinvestment
USD
Mirabaud AM (EU) 106.2500
11/11/2024
+2.98% +12.96% -2.18% +0.23% 1.82
5.5%
Mirabaud - Global Emerging Market B...
LU1708489692
paying dividend
USD
Mirabaud AM (EU) 70.2600
11/11/2024
+2.96% +12.95% -2.18% +0.24% 1.82
5.5%
Mirabaud - Global Emerging Market B...
LU1708489775
reinvestment
EUR
Mirabaud AM (EU) 90.9600
11/11/2024
+2.49% +10.89% -8.53% -8.99% 1.44
5.49%
Mirabaud - Global Emerging Market B...
LU1708490195
paying dividend
CHF
Mirabaud AM (EU) 56.6800
11/11/2024
+1.83% +8.16% -12.59% -13.45% 0.94
5.5%
Mirabaud - Global Emerging Market B...
LU1708489858
paying dividend
EUR
Mirabaud AM (EU) 60.0800
11/11/2024
+2.49% +10.89% -8.51% -8.96% 1.44
5.48%
Mirabaud - Global Short Duration - ...
LU1308307815
reinvestment
USD
Mirabaud AM (EU) 117.8800
08/11/2024
+1.21% +5.90% +5.71% - 2.91
0.99%
Mirabaud - Global Short Duration - ...
LU1308308623
reinvestment
CHF
Mirabaud AM (EU) 92.6600
08/11/2024
+0.10% +1.45% -4.79% - -1.58
1%
Mirabaud - Global Short Duration - ...
LU1308308110
reinvestment
EUR
Mirabaud AM (EU) 99.7000
08/11/2024
+0.79% +4.13% -0.13% - 1.12
0.98%