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)
 
Duration Matching Fund (M) (NL)
NL0012817035
paying dividend
EUR
Goldman Sachs AM BV 975.2500
01/11/2024
+1.41% +6.27% -4.69% - 1.01
3.19%
Goldman Sachs AAA ABS - I Cap EUR
LU0939627880
reinvestment
EUR
Goldman Sachs AM BV 5,536.8198
01/11/2024
+1.01% +5.33% - - 9.49
0.24%
Goldman Sachs AAA ABS - I Cap USD (...
LU2299001029
reinvestment
USD
Goldman Sachs AM BV 5,728.3101
01/11/2024
+1.43% +7.06% - - 17.00
0.24%
Goldman Sachs AAA ABS - X Cap EUR
LU1835818565
reinvestment
EUR
Goldman Sachs AM BV 270.2000
01/11/2024
+0.87% +4.74% - - 7.29
0.23%
Goldman Sachs AAA ABS - Z Cap EUR
LU0939624606
reinvestment
EUR
Goldman Sachs AM BV 5,691.0000
01/11/2024
+1.06% +5.53% - - 10.13
0.24%
Goldman Sachs AAA ABS - Zz Cap EUR
LU1473480967
reinvestment
EUR
Goldman Sachs AM BV 278,001.1250
01/11/2024
+1.07% +5.58% - - 10.30
0.24%
Goldman Sachs Asia High Yield Bond ...
LU2300167553
paying dividend
GBP
Goldman Sachs AM BV 69.6700
30/10/2024
+3.17% +23.12% -1.84% - 4.22
4.75%
Goldman Sachs Asia High Yield Bond ...
LU2250369696
paying dividend
GBP
Goldman Sachs AM BV 75.2600
30/10/2024
+1.96% +15.30% +4.23% - 1.52
8.07%
Goldman Sachs Asia High Yield Bond ...
LU2358927312
paying dividend
USD
Goldman Sachs AM BV 66.1200
30/10/2024
+3.20% +23.37% -0.64% - 4.27
4.76%
Goldman Sachs Asia High Yield Bond ...
LU2358927585
paying dividend
USD
Goldman Sachs AM BV 65.2400
30/10/2024
+3.10% +22.93% -1.68% - 4.17
4.77%
Goldman Sachs Asia High Yield Bond ...
LU2250369423
paying dividend
GBP
Goldman Sachs AM BV 75.2600
30/10/2024
+1.95% +15.24% +4.03% - 1.51
8.08%
Goldman Sachs Asia High Yield Bond ...
LU2201853467
paying dividend
HKD
Goldman Sachs AM BV 65.6600
30/10/2024
+2.47% +21.71% -2.93% - 3.83
4.87%
Goldman Sachs Asia High Yield Bond ...
LU2201852907
paying dividend
SGD
Goldman Sachs AM BV 66.9700
30/10/2024
+2.50% +20.43% -5.60% - 3.66
4.75%
Goldman Sachs Asia High Yield Bond ...
LU2435152975
paying dividend
CNH
Goldman Sachs AM BV 841.5500
30/10/2024
+2.17% +19.21% - - 3.39
4.76%
Goldman Sachs Asian Debt (Hard Curr...
LU0555019479
reinvestment
USD
Goldman Sachs AM BV 9,126.6797
01/11/2024
+1.48% +13.69% -2.38% -5.03% 3.95
2.69%
Goldman Sachs Asian Debt (Hard Curr...
LU1164552777
paying dividend
USD
Goldman Sachs AM BV 4,345.8701
01/11/2024
+1.47% +8.95% - - 1.64
3.6%
Goldman Sachs Asian Debt (Hard Curr...
LU0953791174
paying dividend
EUR
Goldman Sachs AM BV 186.6900
01/11/2024
+1.79% +12.67% - - 3.36
2.86%
Goldman Sachs Asian Debt (Hard Curr...
LU1687283363
paying dividend
USD
Goldman Sachs AM BV 3,570.6201
01/11/2024
+1.55% +14.00% - - 4.07
2.69%
Goldman Sachs Asian Debt (Hard Curr...
LU0629873240
reinvestment
EUR
Goldman Sachs AM BV 269.9400
01/11/2024
+0.82% +9.98% - - 1.26
5.48%
Goldman Sachs Asian Debt (Hard Curr...
LU0577847170
reinvestment
SGD
Goldman Sachs AM BV 14.1300
01/11/2024
+0.86% +11.17% - - 3.01
2.7%
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