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 Bonds USD High Yield P E...
LU1917565845
reinvestment
EUR
BIL Manage Invest 152.8300
29/10/2024
+1.87% +12.19% - - 2.56
3.58%
BIL Invest Bonds USD Corporate Inve...
LU1689732417
reinvestment
USD
BIL Manage Invest 161.6700
30/10/2024
+1.04% +11.96% -10.34% -2.11% 1.47
6.05%
BIL Invest Patrimonial Low P EUR Ac...
LU0049911091
reinvestment
EUR
BIL Manage Invest 517.2700
29/10/2024
+1.81% +11.34% -3.92% +6.96% 1.97
4.21%
BIL Invest Patrimonial Low P EUR Di...
LU0049910796
paying dividend
EUR
BIL Manage Invest 255.8200
29/10/2024
+1.81% +11.33% -3.93% +6.93% 1.97
4.21%
BIL Invest Bonds USD Corporate Inve...
LU1808854985
reinvestment
EUR
BIL Manage Invest 1,480.4600
30/10/2024
+0.66% +10.42% - - 1.22
6.05%
BIL Invest Bonds EUR Corporate Inve...
LU1689730718
reinvestment
EUR
BIL Manage Invest 1,483.3300
30/10/2024
+1.34% +9.47% - - 2.10
3.05%
BIL Invest Bonds EUR Corporate Inve...
LU1689730809
reinvestment
EUR
BIL Manage Invest 144.2900
30/10/2024
+1.21% +8.94% -6.63% -6.51% 1.93
3.05%
BIL Invest Absolute Return I EUR Ca...
LU1689729546
reinvestment
EUR
BIL Manage Invest 1,562.8101
29/10/2024
+1.02% +8.73% - - 3.61
1.58%
BIL Invest Absolute Return P EUR Ca...
LU1689729629
reinvestment
EUR
BIL Manage Invest 152.6000
29/10/2024
+0.93% +8.33% +0.58% +4.41% 3.34
1.58%
BIL Invest Bonds EUR Sovereign I EU...
LU1689731872
reinvestment
EUR
BIL Manage Invest 1,410.2500
29/10/2024
+1.35% +7.85% - - 1.00
4.81%
BIL Invest Bonds USD Sovereign I US...
LU1689733498
reinvestment
USD
BIL Manage Invest 1,522.7000
29/10/2024
+0.37% +7.61% - - 0.90
5.1%
BIL Invest Patrimonial Defensive P ...
LU0509288378
reinvestment
EUR
BIL Manage Invest 103.0400
29/10/2024
+1.41% +7.58% -7.67% -8.74% 1.45
3.12%
BIL Invest Bonds EUR Sovereign P Ca...
LU1689731955
reinvestment
EUR
BIL Manage Invest 140.0400
29/10/2024
+1.28% +7.55% -12.73% -14.17% 0.94
4.81%
BIL Invest Bonds USD Sovereign P US...
LU1689733571
reinvestment
USD
BIL Manage Invest 150.7500
29/10/2024
+0.30% +7.30% -9.74% -6.81% 0.84
5.11%
BIL Invest Bonds USD Sovereign I EU...
LU1808855107
reinvestment
EUR
BIL Manage Invest 1,348.2800
29/10/2024
-0.13% +5.70% - - 0.52
5.1%
BIL Invest Bonds Renta Fund P EUR C...
LU1565452015
reinvestment
EUR
BIL Manage Invest 154.0900
29/10/2024
+0.93% +4.03% +5.20% +4.51% 5.70
0.17%
BIL Invest Connect Defensive I2 EUR...
LU2623125262
reinvestment
EUR
BIL Manage Invest 1,542.4399
29/10/2024
+1.55% - - - -
-
BIL Invest Connect High I2 EUR Cap
LU2623125346
reinvestment
EUR
BIL Manage Invest 1,570.0800
29/10/2024
+3.70% - - - -
-
BIL Invest Connect Low I2 EUR Cap
LU2623125692
reinvestment
EUR
BIL Manage Invest 1,545.2200
29/10/2024
+1.93% - - - -
-