NAV30.08.2024 Diff.+16,6602 Ertragstyp Ausrichtung Fondsgesellschaft
13.247,9697EUR +0,13% thesaurierend Anleihen Lazard Fr. Gestion 
     
Chart for Lazard Convertible Euro Moderato A
  Titel   ISIN Performance Volatilität Sharpe Ratio
1. Jupiter Financ.Contingent Cap.Fd.I USD IE00BF47CW72 +18,36% 4,23% 3,51
2. Jupiter Financ.Contingent Cap.Fd.I GBP H IE00BF47CV65 +17,91% 4,22% 3,41
3. Jupiter Financ.Contingent Cap.Fd.L USD IE00BF47CT44 +17,48% 4,23% 3,30
4. Jupiter Financ.Contingent Cap.Fd.I EUR H IE00BFYVC072 +16,34% 4,22% 3,05
5. Jupiter Financ.Contingent Cap.Fd.L EUR H IE00BFYVC189 +15,40% 4,21% 2,82
6. BNP Paribas Funds Europe Convertible I Capitalisation LU0086913125 +8,63% 4,10% 1,25
7. BNP Paribas Funds Europe Convertible Privilege Capitalisation LU0111466198 +8,47% 4,10% 1,21
8. CM-AM CONVERTIBLES EURO IC FR0013384617 +8,99% 4,55% 1,21
9. CM-AM CONVERTIBLES EURO S FR0013481082 +8,87% 4,57% 1,17
10. CM-AM CONVERTIBLES EURO RC FR0013384591 +8,46% 4,59% 1,08