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)
 
U ACCESS - China Convertible Bond A...
LU2065541422
reinvestment
CNH
UBP AM (EU) 1,128.6200
28/10/2024
+6.29% -1.04% -3.76% - -0.30
13.73%
U ACCESS - China Convertible Bond A...
LU2065541935
reinvestment
CHF
UBP AM (EU) 103.0200
28/10/2024
+6.00% -2.58% -9.89% - -0.41
13.76%
U ACCESS - China Convertible Bond A...
LU2065542156
reinvestment
EUR
UBP AM (EU) 108.1700
28/10/2024
+6.79% -0.19% -5.70% - -0.24
13.77%
U ACCESS - China Convertible Bond A...
LU2065543048
reinvestment
USD
UBP AM (EU) 114.5900
28/10/2024
+7.09% +1.27% -0.62% - -0.13
13.78%
U ACCESS - China Convertible Bond I...
LU2065543394
reinvestment
CNH
UBP AM (EU) 1,150.6400
28/10/2024
+6.43% -0.51% -2.21% - -0.26
13.74%
U ACCESS - China Convertible Bond I...
LU2065543717
reinvestment
CHF
UBP AM (EU) 88.5900
28/10/2024
+6.15% -2.06% - - -0.37
13.76%
U ACCESS - China Convertible Bond I...
LU2065543980
reinvestment
EUR
UBP AM (EU) 110.3000
28/10/2024
+6.94% +0.35% -4.16% - -0.20
13.77%
U ACCESS - China Convertible Bond I...
LU2065544871
reinvestment
USD
UBP AM (EU) 116.8600
28/10/2024
+7.24% +1.82% +1.01% - -0.09
13.78%
U ACCESS - China Convertible Bond Z...
LU2065547205
reinvestment
CNH
UBP AM (EU) 1,175.4800
28/10/2024
+6.60% +0.14% -0.29% - -0.21
13.74%
U ACCESS - EUR Credit 2028 AC EUR
LU2695654546
reinvestment
EUR
UBP AM (EU) 104.6200
28/10/2024
+2.42% - - - -
-
U ACCESS - EUR Credit 2028 AD EUR
LU2695673413
paying dividend
EUR
UBP AM (EU) 104.6200
28/10/2024
+2.42% - - - -
-
U ACCESS - EUR Credit 2028 ADq EUR
LU2695673686
paying dividend
EUR
UBP AM (EU) 102.0800
28/10/2024
+2.41% - - - -
-
U ACCESS - EUR Credit 2028 UC EUR
LU2695676432
reinvestment
EUR
UBP AM (EU) 104.7700
28/10/2024
+2.46% - - - -
-
U ACCESS - EUR Credit 2028 UD EUR
LU2695676358
paying dividend
EUR
UBP AM (EU) 104.7700
28/10/2024
+2.46% - - - -
-
U ACCESS - EUR Credit 2028 UDq EUR
LU2695676515
paying dividend
EUR
UBP AM (EU) 102.0600
28/10/2024
+2.47% - - - -
-
U ACCESS - Euro Credit Obiettivo 20...
LU2695671557
reinvestment
EUR
UBP AM (EU) 103.4100
30/10/2024
+1.88% - - - -
-
U ACCESS - Global Credit 2024 ADq U...
LU1997930711
paying dividend
USD
UBP AM (EU) 94.7100
28/10/2024
+0.99% +6.30% +3.10% - 4.68
0.7%
U ACCESS - Global Credit 2024 AHC C...
LU1997931446
reinvestment
CHF
UBP AM (EU) 100.2100
28/10/2024
-0.12% +1.87% -7.34% - -1.63
0.72%
U ACCESS - Global Credit 2024 AHD C...
LU1997931875
paying dividend
CHF
UBP AM (EU) 93.3800
28/10/2024
-0.13% +1.86% -7.12% - -1.64
0.72%
U ACCESS - Global Credit 2024 AHD E...
LU1997931289
paying dividend
EUR
UBP AM (EU) 95.5000
28/10/2024
+0.55% +4.44% -2.62% - 1.99
0.71%
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