Titel
ISIN
  Ertragstyp
Währung
Fondsgesellschaft Rückn. Preis
Datum
Perf. 3M Perf. 1J Perf. 3J Perf. 5J SR (1J)
Vola. (1J)
 
PGIM US Corporate Bond Fund EUR-Hed...
IE00BFLQZQ24
thesaurierend
EUR
PGIM FUNDS 1.102,5330
22.08.2024
+4,07% +9,94% -12,44% -4,39% 0,96
6,65%
PGIM US Corporate Bond Fund EUR-Hed...
IE00BG377X10
thesaurierend
EUR
PGIM FUNDS 92,4720
22.08.2024
+4,03% +9,77% -12,82% - 0,94
6,66%
PGIM US Corporate Bond Fund USD A A...
IE00BD2ML341
thesaurierend
USD
PGIM FUNDS 113,1970
22.08.2024
+4,42% +11,45% -8,27% +2,53% 1,19
6,66%
PGIM US Corporate Bond Fund USD I A...
IE00BFLR1L27
thesaurierend
USD
PGIM FUNDS 1.311,8710
22.08.2024
+4,55% +12,01% -6,87% +5,13% 1,27
6,67%
PGIM US Corporate Bond Fund USD I D...
IE00BFLR1M34
ausschüttend
USD
PGIM FUNDS 87,8530
22.08.2024
+4,55% +8,83% -14,94% - 0,77
6,9%
PGIM US Corporate Bond Fund USD P A...
IE00BG377Z34
thesaurierend
USD
PGIM FUNDS 118,0550
22.08.2024
+4,51% +11,85% -7,28% +4,38% 1,25
6,66%
PGIM Wadhwani Keynes Systematic Abs...
IE00BJV2K296
thesaurierend
EUR
PGIM FUNDS 114,8070
22.08.2024
-0,64% +2,31% +2,28% - -0,20
6,19%
PGIM Wadhwani Keynes Systematic Abs...
IE00BJV2JM22
thesaurierend
EUR
PGIM FUNDS 111,0670
22.08.2024
-0,42% +3,11% +4,55% - -0,07
6,2%
PGIM Wadhwani Keynes Systematic Abs...
IE00BKV0Q773
ausschüttend
EUR
PGIM FUNDS 100,1465
16.08.2024
-0,53% - - - -
-
PGIM Wadhwani Keynes Systematic Abs...
IE00BJV2JX37
thesaurierend
EUR
PGIM FUNDS 110,1960
22.08.2024
-0,54% +2,88% +4,07% - -0,11
6,19%
PGIM Wadhwani Keynes Systematic Abs...
IE00BJV2K304
thesaurierend
USD
PGIM FUNDS 122,0350
22.08.2024
-0,22% +3,88% +7,19% - 0,06
6,2%
PGIM Wadhwani Keynes Systematic Abs...
IE00BJV2JR76
thesaurierend
USD
PGIM FUNDS 119,3140
22.08.2024
-0,03% +4,66% +9,59% - 0,18
6,19%
PGIM Wadhwani Keynes Systematic Abs...
IE00BKV0QB18
ausschüttend
USD
PGIM FUNDS 100,6066
16.08.2024
-0,40% - - - -
-
PGIM Wadhwani Keynes Systematic Abs...
IE00BJV2JZ50
thesaurierend
USD
PGIM FUNDS 118,6854
16.08.2024
-0,15% +4,51% +8,68% - 0,15
6,23%