Titel
ISIN
  Ertragstyp
Währung
Fondsgesellschaft Rückn. Preis
Datum
Perf. 3M Perf. 1J Perf. 3J Perf. 5J SR (1J)
Vola. (1J)
 
Goldman Sachs Global Dynamic Bond P...
LU0620232289
ausschüttend
USD
Goldman Sachs AM BV 95,6300
09.07.2024
+1,99% +10,75% +4,61% +11,47% 1,67
4,23%
Goldman Sachs Global Dynamic Bond P...
LU0609002489
ausschüttend
GBP
Goldman Sachs AM BV 91,4500
09.07.2024
+1,99% +10,77% +4,05% +9,32% 1,69
4,2%
Goldman Sachs Europe High Yield (Fo...
LU1840630260
thesaurierend
EUR
Goldman Sachs AM BV 306.959,3125
09.07.2024
+1,98% +12,31% - - 3,11
2,78%
GS Global Income Bd.Pf.I USD
LU2217653976
thesaurierend
USD
Goldman Sachs AM BV 107,7900
09.07.2024
+1,98% +11,84% +1,87% - 2,35
3,47%
Goldman Sachs Asian Debt (Hard Curr...
LU0555019479
thesaurierend
USD
Goldman Sachs AM BV 8.871,6104
09.07.2024
+1,98% +8,30% -11,18% -6,06% 1,55
2,99%
GS Global Income Bd.Pf.I
LU2217653893
ausschüttend
USD
Goldman Sachs AM BV 92,0100
09.07.2024
+1,97% +11,84% +1,92% - 2,35
3,48%
GS Global Income Bd.Pf.R
LU2217654354
thesaurierend
USD
Goldman Sachs AM BV 107,7000
09.07.2024
+1,97% +11,79% +1,82% - 2,34
3,48%
GS Asian Debt(HC)R USD
LU1687283520
thesaurierend
USD
Goldman Sachs AM BV 2.032,7900
09.07.2024
+1,97% +8,28% -11,23% -6,15% 1,54
2,99%
Goldman Sachs Asian Debt (Hard Curr...
LU1687283876
ausschüttend
USD
Goldman Sachs AM BV 3.515,6899
09.07.2024
+1,97% +3,15% - - -0,11
4,94%
Goldman Sachs US Fixed Income Portf...
LU0133266907
thesaurierend
EUR
Goldman Sachs AM BV 11,4100
09.07.2024
+1,97% +5,45% -3,71% -1,21% 0,26
6,78%
GS Global Income Bd.Pf.R
LU2217654271
ausschüttend
USD
Goldman Sachs AM BV 91,9900
09.07.2024
+1,96% +11,78% +1,78% - 2,33
3,48%
GS Gl.High Yield Pf.IO EUR H
LU0333811585
thesaurierend
EUR
Goldman Sachs AM BV 21,4100
09.07.2024
+1,95% +10,08% -1,74% - 1,61
3,98%
GS Europe H.Y.Z EUR
LU0529382367
thesaurierend
EUR
Goldman Sachs AM BV 9.768,0400
09.07.2024
+1,94% +12,20% +4,26% +18,70% 3,06
2,78%
Goldman Sachs Global High Yield Por...
LU0472043487
ausschüttend
GBP
Goldman Sachs AM BV 8,9300
09.07.2024
+1,94% +10,28% -1,32% +8,32% 1,64
4,03%
GS Gl.High Yield Pf.R AUD H
LU1299706348
ausschüttend
AUD
Goldman Sachs AM BV 8,4800
09.07.2024
+1,93% +9,75% -1,45% +2,33% 1,48
4,1%
GS Gl.High Yield Pf.Base USD
LU0984041128
ausschüttend
USD
Goldman Sachs AM BV 8,3900
09.07.2024
+1,93% +12,01% +14,83% +24,49% 2,64
3,16%
GS Gl.High Yield Pf.I GBP H
LU0650650376
ausschüttend
GBP
Goldman Sachs AM BV 7,9300
09.07.2024
+1,93% +12,16% +15,12% +23,48% 2,58
3,29%
GS Global Income Bd.Pf.P
LU2219726358
ausschüttend
USD
Goldman Sachs AM BV 91,9900
09.07.2024
+1,92% +11,55% +1,16% - 2,27
3,48%
Goldman Sachs Global Securitised In...
LU0820776002
thesaurierend
EUR
Goldman Sachs AM BV 155,9900
09.07.2024
+1,92% +8,13% -2,49% +11,79% 2,38
1,87%
GS Global Income Bd.Pf.P
LU2219726432
thesaurierend
USD
Goldman Sachs AM BV 106,8300
09.07.2024
+1,92% +11,57% +1,16% - 2,28
3,47%
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