Nordea 1 - European High Yield Bond Fund - HB - GBP/ LU0772948211 /
NAV2024. 07. 26. | Vált.+0,0268 | Hozam típusa | Investment Focus | Alapkezelő |
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33,2623GBP | +0,08% | Újrabefektetés | Kötvények | Nordea Inv. Funds ▶ |
Név | ISIN | Teljesítmény | Volatilitás | Sharpe ráta | ||
---|---|---|---|---|---|---|
1. | Nordea 1 - European Financial Debt Fund - HBI - USD | LU1045074413 | +17,52% | 2,00% | 6,91 | |
2. | Nordea 1 - European Financial Debt Fund - X - EUR | LU0772946512 | +16,31% | 1,98% | 6,38 | |
3. | Nordea 1 Europ.Financial Debt F.BI DKK | LU0772943410 | +15,81% | 1,95% | 6,20 | |
4. | Nordea 1 - European Financial Debt Fund - BI - EUR | LU0772943501 | +15,64% | 1,97% | 6,05 | |
5. | Nordea 1 - European Financial Debt Fund - HBI - SGD | LU1045071823 | +15,56% | 1,98% | 5,99 | |
6. | Nordea 1 Europ.Financial Debt F.BC EUR | LU0994706744 | +15,39% | 1,97% | 5,93 | |
7. | Nordea 1 - European Financial Debt Fund - BP - EUR | LU0772944145 | +14,92% | 1,97% | 5,70 | |
8. | Nordea 1 Europ.Financial Debt F.E EUR | LU0772944731 | +14,06% | 1,97% | 5,27 | |
9. | Plenum European Insurance Bond Fund Class S EUR | LI1103215128 | +14,84% | 2,22% | 5,01 | |
10. | Plenum European Insurance Bond Fund Class I EUR | LI1103026582 | +14,51% | 2,22% | 4,88 | |
... | ||||||
26. | Nordea 1 - European High Yield Bond Fund - HB - GBP | LU0772948211 | +12,73% | 2,67% | 3,38 |
Teljesítmény | Volatilitás | Sharpe ráta |
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