Titel
ISIN
  Ertragstyp
Währung
Fondsgesellschaft Rückn. Preis
Datum
Perf. 3M Perf. 1J Perf. 3J Perf. 5J SR (1J)
Vola. (1J)
 
NEF Emerging Market Bond R EUR Accu...
LU0102240552
thesaurierend
EUR
Nord Est AM 24.3500
30.10.2024
+1.08% +11.95% -11.39% -12.72% 1.95
4.55%
NEF Ethical Bond - Euro C EUR Accum...
LU1555161949
thesaurierend
EUR
Nord Est AM 16.9600
30.10.2024
+0.83% +7.00% - - 0.86
4.6%
NEF Ethical Bond - Euro ID EUR Dist...
LU2605905533
ausschüttend
EUR
Nord Est AM 18.1200
30.10.2024
+0.89% +6.65% - - 0.77
4.67%
NEF Ethical Bond - Euro R EUR Accum...
LU0102240396
thesaurierend
EUR
Nord Est AM 16.8300
30.10.2024
+0.72% +6.52% -11.88% -13.16% 0.75
4.6%
NEF Ethical Corporate Bond - Euro D...
LU1699692130
ausschüttend
EUR
Nord Est AM 14.2000
30.10.2024
+1.00% +7.69% -6.94% -6.11% 1.35
3.44%
NEF Ethical Corporate Bond - Euro I...
LU2605905459
ausschüttend
EUR
Nord Est AM 18.7100
30.10.2024
+1.24% +7.90% - - 1.40
3.46%
NEF Ethical Corporate Bond - Euro R...
LU0140696823
thesaurierend
EUR
Nord Est AM 15.5500
30.10.2024
+1.04% +7.69% -7.11% -6.38% 1.36
3.4%
NEF Euro Short Term Bond D EUR Dist...
LU1492147472
ausschüttend
EUR
Nord Est AM 13.0000
30.10.2024
+1.25% +4.45% +0.79% +0.03% 1.15
1.21%
NEF Euro Short Term Bond R EUR Accu...
LU0102240719
thesaurierend
EUR
Nord Est AM 13.6300
30.10.2024
+1.19% +4.44% +0.74% -0.07% 1.15
1.21%
NEF Global Bond R EUR Accumulation
LU0102239976
thesaurierend
EUR
Nord Est AM 15.2300
30.10.2024
+0.20% +5.03% -10.09% -12.17% 0.31
6.31%
NEF Risparmio Italia R EUR Accumula...
LU0140693051
thesaurierend
EUR
Nord Est AM 15.0700
30.10.2024
+1.01% +13.82% +2.59% +13.91% 2.59
4.15%
Nordea 1 - Fixed Maturity Bond 2027...
LU2768725322
ausschüttend
EUR
Nord Est AM 103.2522
31.10.2024
+1.19% - - - -
-
Nordea 1 - Fixed Maturity Bond 2027...
LU2807490953
thesaurierend
EUR
Nord Est AM 103.8971
31.10.2024
+1.49% - - - -
-