Biznesradar bez reklam? Sprawdź BR Plus
  • TFI
  • Fundusze TFI
  • Akcji polskich
  • Akcji polskich małych i średnich spółek
  • Akcji polskich sektorowych pozostałe
  • Akcji polskich uniwersalne
  • Akcji polskich pozostałe
  • Papierów dłużnych
  • Dłużne europejskie uniwersalne
  • Dłużne globalne pozostałe
  • Dłużne globalne uniwersalne
  • Dłużne polskie korporacyjne
  • Dłużne polskie papiery skarbowe
  • Dłużne polskie pozostałe
  • Dłużne polskie uniwersalne
  • Dłużne USA uniwersalne
  • Dłużne zagraniczne pozostałe
  • Dłużne globalne korporacyjne
  • Gotówkowe i pieniężne
  • Gotówkowe i pieniężne pozostałe
  • Gotówkowe i pieniężne uniwersalne
  • Zrównoważone
  • Mieszane polskie zrównoważone
  • Mieszane polskie pozostałe
  • Mieszane zagraniczne zrównoważone
  • Mieszane zagraniczne pozostałe
  • Stabilnego wzrostu
  • Mieszane polskie stabilnego wzrostu
  • Mieszane zagraniczne stabilnego wzrostu
  • Inne
  • Absolutnej stopy zwrotu
  • Mieszane polskie aktywnej alokacji
  • Mieszane zagraniczne aktywnej alokacji
  • Nieruchomości uniwersalne
  • Rynku surowców - metale szlachetne
  • Rynku surowców pozostałe
  • Sekurytyzacyjne uniwersalne
  • Ochrony kapitału
  • Akcji rynków zagranicznych
  • Akcji amerykańskich
  • Akcji azjatyckich bez Japonii
  • Akcji europejskich rynków rozwiniętych
  • Akcji europejskich rynków wschodzących
  • Akcji globalnych rynków rozwiniętych
  • Akcji globalnych rynków wschodzących
  • Akcji rosyjskich
  • Akcji tureckich
  • Akcji zagranicznych pozostałe
  • PPK zdefiniowanej daty
  • PPK 2020
  • PPK 2025
  • PPK 2030
  • PPK 2035
  • PPK 2040
  • PPK 2045
  • PPK 2050
  • PPK 2055
  • PPK 2060
  • PPK 2065
  • Papierów dłużnych
  • Fundusze zagraniczne
  • Akcji
  • Akcji amerykańskich
  • Akcji Ameryki Łacińskiej
  • Akcji azjatyckich bez Japonii
  • Akcji Bliskiego Wschodu i Afryki
  • Akcji BRIC
  • Akcji europejskich rynków rozwiniętych
  • Akcji europejskich rynków rozwiniętych MIŚ
  • Akcji europejskich rynków wschodzących
  • Akcji globalnych rynków rozwiniętych
  • Akcji globalnych rynków rozwiniętych MIŚ
  • Akcji globalnych rynków wschodzących
  • Akcji chińskich
  • Akcji indyjskich
  • Akcji japońskich
  • Akcji rosyjskich
  • Akcji zagranicznych sektora energetycznego
  • Akcji zagranicznych sektora nieruchomości
  • Akcji zagranicznych sektora technologicznego
  • Akcji zagranicznych sektorowych pozostałe
  • Akcji zagranicznych pozostałe
  • Papierów dłużnych
  • Dłużne azjatyckie uniwersalne
  • Dłużne Emerging Markets uniwersalne
  • Dłużne europejskie korporacyjne
  • Dłużne europejskie uniwersalne
  • Dłużne europejskie pozostałe
  • Dłużne globalne High Yield
  • Dłużne globalne korporacyjne
  • Dłużne globalne uniwersalne
  • Dłużne globalne pozostałe
  • Dłużne Nowej Europy uniwersalne
  • Dłużne USA uniwersalne
  • Dłużne zagraniczne pozostałe
  • Rynku pieniężnego
  • Gotówkowe i pieniężne EUR
  • Gotówkowe i pieniężne USD
  • Gotówkowe i pieniężne zagraniczne pozostałe
  • Mieszane
  • Mieszane zagraniczne aktywnej alokacji
  • Mieszane zagraniczne stabilnego wzrostu
  • Mieszane zagraniczne zrównoważone
  • Mieszane zagraniczne pozostałe
  • Ochrony kapitału
  • Ochrony kapitału zagraniczne uniwersalne
  • Inne
  • Rynku surowców
  • Absolutnej stopy zwrotu uniwersalne
  • OFE
  • Fundusze OFE
  • Otwarte Fundusze Emerytalne
  • Dobrowolne Fundusze Emerytalne (DFE)
  • Fundusze zagraniczne - Papierów dłużnych

    Stopy zwrotu

    Nazwa Waluta 1T 1m 3m 6m YTD 12m 24m 36m 60m 120m 1r 3m
    AB American Income Portfolio A2 PLN H PLN +0,03% -0,78% -1,14% +3,57% +3,00% +8,29% +14,92% +1,49% +4,79%
    AB Emerging Market Local Currency Debt Portfolio A2 PLN H PLN +0,61% -1,82% -3,16% -1,35% -3,73% +0,38% +15,73% +0,71% -7,75%
    AB Emerging Markets Debt Portfolio A2 PLN H PLN +0,19% +0,12% +1,15% +5,27% +8,34% +15,22% +27,83% +0,74% +4,72%
    AB Euro High Yield Portfolio A2 PLN H PLN -0,02% +0,44% +2,49% +5,41% +8,09% +13,04% +26,14% +13,04% +21,34%
    AB European Income Portfolio A2 PLN H PLN +0,10% +0,14% +1,60% +4,77% +5,75% +11,31% +21,74% +10,42% +17,70%
    AB Global High Yield Portfolio A2 PLN H PLN +0,31% +0,54% +1,67% +4,79% +7,50% +12,55% +24,84% +11,48% +16,65%
    AB Global Income Portfolio A2 PLN H PLN +0,03% -0,84% -1,04% +3,46% +3,27% +8,23% +15,16% +1,46% +5,15%
    Allianz Advanced Fixed Income Euro - A (EUR) EUR +0,10% -0,06% -1,72% -3,42% 0,00% -1,11%
    Allianz Convertible Bond - A (EUR) EUR +0,40% +1,13% +2,88% +2,53% 0,00% +6,79% +0,99% +7,49% +25,33%
    Allianz Convertible Bond - AT (EUR) EUR +0,40% +1,14% +3,36% +3,00% 0,00% +7,30% +2,07% +9,68% +30,02%
    Allianz Corporate Bond Europa HiYield - A (EUR) EUR +0,25% +0,64% +2,62% +1,64% 0,00% +7,28% -2,02% -0,78% +11,59% +4,61%
    Allianz Emerging Markets Bond Extra 2018 - A (EUR) EUR +0,12% +0,72% -1,70% -1,26% 0,00% +5,66% +1,92%
    Allianz Emerging Markets Bond Extra 2018 - AT (EUR) EUR +0,12% +0,71% +1,83% +2,27% 0,00% +9,39% +9,45%
    Allianz Emerging Markets Bond Extra 2020 - A (EUR) EUR +0,17% +1,08% -1,56% -2,29% 0,00% +6,20% +1,77%
    Allianz Enhanced Short Term Euro - AT (EUR) EUR -0,01% 0,00% +0,04% -0,05% 0,00% -0,15% -0,49% -0,37% +0,87%
    Allianz Euro Bond - A (EUR) EUR +0,17% 0,00% -1,11% -4,30% 0,00% +0,17% -3,74% +4,52% +16,87% +15,24%
    Allianz Euro Bond - AT (EUR) EUR +0,19% +0,06% -0,06% -3,25% 0,00% +1,19% -0,31% +9,82% +26,97% +41,73%
    Allianz Euro Bond Fund - A (EUR) EUR -1,67% -1,92% -1,10% -2,25% 0,00% -1,68% +5,24% +6,49% +15,00% +15,25%
    Allianz Euro Credit SRI - A (EUR) EUR +0,38% +0,67% -0,25% -2,58% 0,00% +4,54% +0,84%
    Allianz Euro Credit SRI - AT (EUR) EUR +0,39% +0,67% +0,89% -1,48% 0,00% +5,76% +2,85%
    Allianz Euro High Yield Bond - A (EUR) EUR +0,23% +0,65% -0,28% -0,92% 0,00% +8,70% +0,03% +0,77% +9,98%
    Allianz Euro High Yield Bond - AT (EUR) EUR +0,23% +0,65% +2,91% +2,25% 0,00% +12,18% +7,10% +12,71% +36,37%
    Allianz Euro High Yield Defensive - AT (EUR) EUR +0,24% +0,61% +2,88% +2,26% 0,00% +12,35% +7,38% +13,23%
    Allianz Euro Inflation-linked Bond - A (EUR) EUR -0,13% -0,68% -0,22% -2,64% 0,00% +1,20% -1,68%
    Allianz Euro Inflation-linked Bond - AT (EUR) EUR -0,13% -0,68% -0,22% -2,64% 0,00% +1,21% -1,24%
    Allianz Euro Investment Grade Bond Strategy - A (EUR) EUR +0,42% +0,64% -0,08% -2,39% 0,00% +3,52%
    Allianz Flexi Asia Bond - AT (USD) USD +0,35% +1,78% +3,25% +0,44% 0,00% +9,15% +9,05% +10,31%
    Allianz Flexible Bond Strategy - A (EUR) EUR +0,13% +0,15% -1,80% -2,78% 0,00% -0,81% -6,89% -3,71% -2,59%
    Allianz Flexible Bond Strategy - AT (EUR) EUR +0,12% +0,15% -0,24% -1,24% 0,00% +0,77% -4,20%
    Allianz Global Bond High Grade - A (EUR) EUR -1,27% -0,12% -0,39% -6,70% 0,00% +6,63% +15,11% +4,47% +17,74% +28,85%
    Allianz Global Bond High Grade - AT (EUR) EUR -1,27% -0,12% -0,40% -6,72% 0,00% +7,97% +18,11% +7,77% +23,72% +54,70%
    Allianz High Yield Bond Extra 2017 - A (EUR) EUR +0,03% +0,03% +0,50% +1,08% 0,00% +8,34% -3,61% -5,93%
    Allianz High Yield Bond Extra 2017 - AT (EUR) EUR +0,03% +0,03% +0,46% +1,02% 0,00% +10,15% +1,73% +2,44%
    Allianz Rendite Plus 2015 - A (EUR) EUR -0,03% +0,04% -0,46% -3,03% 0,00% -2,98% -3,93% -3,01%
    Allianz Rendite Plus 2017 - A (EUR) EUR +0,02% +0,06% +0,26% +0,40% 0,00% +1,63% -4,26% -3,42%
    Allianz Rendite Plus 2019 - A (EUR) EUR +0,14% +0,51% +1,21% +0,98% 0,00% +4,31% +0,39%
    Allianz Renminbi Fixed Income - A (USD) USD 0,00% +0,83% -2,52% -5,75% 0,00% -1,93% -6,93% -10,38% -5,66%
    Allianz Treasury Short Term Plus Euro - A (EUR) EUR +0,04% +0,18% -0,15% -0,41% 0,00% +0,24% -2,49% -2,87% -4,16%
    Allianz US High Yield - AT (USD) USD +0,23% +0,95% +3,89% +4,74% 0,00% +22,70% +4,06% +3,31% +19,50%
    BlackRock BGF Asian Tiger Bond Fund - A2 (USD) USD +0,05% -0,35% -3,78% -11,07% 0,00% -19,04% -18,43% -13,69% -7,87% +14,74%
    BlackRock BGF Asian Tiger Bond Fund - A2 Hedged (EUR) EUR 0,00% -0,56% -4,33% -11,95% 0,00% -20,22% -20,43% -18,07% -17,31%
    BlackRock BGF Asian Tiger Bond Fund - E2 (EUR) EUR -0,03% +0,49% -0,33% -0,42% 0,00% -6,24% -5,60% -6,53% +4,13% +32,21%
    BlackRock BGF Asian Tiger Bond Fund - E2 (USD) USD +0,03% -0,39% -3,89% -11,30% 0,00% -19,44% -19,25% -14,98% -10,13% +9,16%
    BlackRock BGF Asian Tiger Bond Fund - E2 Hedged (EUR) EUR 0,00% -0,65% -4,49% -12,20% 0,00% -20,66% -21,21% -19,26% -19,33%
    BlackRock BGF Emerging Markets Bond Fund - A2 (EUR) EUR +1,51% +3,20% -1,77% -3,59% 0,00% -5,56% +0,19% -4,61% +5,29% +35,32%
    BlackRock BGF Emerging Markets Bond Fund - A2 (USD) USD +1,61% +2,31% -5,31% -14,08% 0,00% -18,84% -14,31% -13,22% -9,14% +11,71%
    BlackRock BGF Emerging Markets Bond Fund - A2 Hedged (EUR) EUR +1,54% +1,99% -5,99% -15,28% 0,00% -20,36% -16,76% -18,14% -19,15% -4,50%
    BlackRock BGF Emerging Markets Bond Fund - A2 Hedged (GBP) GBP +1,52% +2,15% -5,75% -14,53% 0,00% -19,29% -15,18% -16,32% -15,61%
    BlackRock BGF Emerging Markets Bond Fund - E2 (EUR) EUR +1,51% +3,21% -1,92% -3,84% 0,00% -6,04% -0,80% -6,04% +2,71% +28,72%
    BlackRock BGF Emerging Markets Bond Fund - E2 (USD) USD +1,55% +2,24% -5,47% -14,35% 0,00% -19,27% -15,17% -14,55% -11,43% +6,21%
    BlackRock BGF Emerging Markets Bond Fund - E2 Hedged (EUR) EUR +1,48% +1,95% -6,22% -15,57% 0,00% -20,77% -17,61% -19,40% -21,19%
    BlackRock BGF Emerging Markets Local Currency Bond Fund - A2 (CHF) CHF -0,15% +1,02% -6,27% +4,06% 0,00% -9,66% -8,83%
    BlackRock BGF Emerging Markets Local Currency Bond Fund - A2 (EUR) EUR +1,34% +5,86% +4,45% -2,02% 0,00% -1,54% +1,69% -4,04% -4,31% -3,09%
    BlackRock BGF Emerging Markets Local Currency Bond Fund - A2 (USD) USD +1,37% +4,95% +0,73% -12,74% 0,00% -15,40% -13,03% -12,70% -17,42% -20,03%
    BlackRock BGF Emerging Markets Local Currency Bond Fund - A2 Hedged (CHF) CHF +0,29% +3,75% -3,76% -2,40% 0,00% -14,14% -19,53% -28,44%
    BlackRock BGF Emerging Markets Local Currency Bond Fund - A2 Hedged (EUR) EUR +1,30% +4,71% 0,00% -13,95% 0,00% -17,15% -15,81% -17,92% -27,22% -32,94%
    BlackRock BGF Emerging Markets Local Currency Bond Fund - A2 Hedged (PLN) PLN +1,45% +5,26% +1,45% -12,21% 0,00% -14,79% -13,12% -14,27% -21,33% -19,44%
    BlackRock BGF Emerging Markets Local Currency Bond Fund - E2 (EUR) EUR +1,29% +5,77% +4,31% -2,33% 0,00% -2,07% +0,64% -5,51% -6,72% -7,86%
    BlackRock BGF Emerging Markets Local Currency Bond Fund - E2 (USD) USD +1,37% +4,92% +0,58% -12,96% 0,00% -15,86% -13,90% -14,01% -19,49% -23,92%
    BlackRock BGF Emerging Markets Local Currency Bond Fund - E2 Hedged (EUR) EUR +1,38% +4,83% 0,00% -14,20% 0,00% -17,46% -16,52% -19,06% -28,88% -36,10%
    BlackRock BGF Euro Bond Fund - A2 (EUR) EUR +0,15% +3,08% +0,07% -6,69% 0,00% -11,81% -11,15% -10,52% -3,78% +21,38%
    BlackRock BGF Euro Bond Fund - A2 (USD) USD +0,22% +2,16% -3,52% -16,86% 0,00% -24,23% -24,01% -18,61% -16,96% +0,18%
    BlackRock BGF Euro Bond Fund - A2 Hedged (USD) USD +0,23% +3,27% +0,54% -6,03% 0,00% -10,83% -9,52% -6,98% +5,38%
    BlackRock BGF Euro Bond Fund - E2 (EUR) EUR +0,12% +2,99% -0,08% -6,93% 0,00% -12,25% -12,06% -11,87% -6,18% +15,40%
    BlackRock BGF Euro Bond Fund - E2 (USD) USD +0,16% +2,10% -3,64% -17,08% 0,00% -24,61% -24,77% -19,84% -19,03% -4,75%
    BlackRock BGF Euro Bond Fund A2 Hedged (PLN) PLN +0,33% +3,74% +1,77% -4,09% 0,00% -8,71% -7,62% -5,58% +4,87%
    BlackRock BGF Euro Corporate Bond Fund - A2 (EUR) EUR +0,06% +3,63% -0,50% -6,11% 0,00% -11,03% -8,27% -8,69% -3,09% +19,36%
    BlackRock BGF Euro Corporate Bond Fund - E2 (EUR) EUR +0,07% +3,57% -0,62% -6,39% 0,00% -11,47% -9,20% -10,04% -5,53% +13,54%
    BlackRock BGF Euro Short Duration Bond Fund - A2 (EUR) EUR -0,07% +0,66% -0,26% -2,20% 0,00% -4,12% -4,18% -4,66% -5,32% +2,85%
    BlackRock BGF Euro Short Duration Bond Fund - A2 Hedged (CHF) CHF +0,09% -0,28% -0,82% -0,91% 0,00% -1,36% +0,65% +2,75% +8,72%
    BlackRock BGF Euro Short Duration Bond Fund - A2 Hedged (USD) USD 0,00% +0,91% +0,25% -1,45% 0,00% -2,93% -2,23% -0,73% +3,99% +16,11%
    BlackRock BGF Euro Short Duration Bond Fund - E2 (EUR) EUR -0,07% +0,67% -0,37% -2,45% 0,00% -4,57% -5,11% -6,03% -7,63% -2,09%
    BlackRock BGF Fixed Income Global Opportunities Fund - A2 (EUR) EUR 0,00% +2,30% +3,02% +8,19% 0,00% +10,05% +14,79% +12,67% +24,85%
    BlackRock BGF Fixed Income Global Opportunities Fund - A2 (USD) USD +0,13% +1,43% -0,67% -3,55% 0,00% -5,33% -1,71% +2,54% +7,80% +24,21%
    BlackRock BGF Fixed Income Global Opportunities Fund - A2 Hedged (CHF) CHF +0,10% -0,82% -2,51% -2,70% 0,00% -4,51%
    BlackRock BGF Fixed Income Global Opportunities Fund - A2 Hedged (EUR) EUR +0,10% +1,25% -1,22% -4,42% 0,00% -6,62% -3,94% -2,31% -2,89% +7,74%
    BlackRock BGF Fixed Income Global Opportunities Fund - A2 Hedged (JPY) JPY 0,00% -0,80% -2,35% -2,45% 0,00% -3,76% -0,70%
    BlackRock BGF Fixed Income Global Opportunities Fund - A2 Hedged (PLN) PLN +0,31% +1,87% +0,43% -1,92% 0,00% -3,43% -0,12% +3,29% +6,60% +33,01%
    BlackRock BGF Fixed Income Global Opportunities Fund - A2RF Hedged (GBP) GBP 0,00% +1,26% -0,85% -3,78% 0,00% -5,69% -2,43% 0,00% +1,55%
    BlackRock BGF Fixed Income Global Opportunities Fund - E2 (EUR) EUR 0,00% +2,27% +2,89% +7,97% 0,00% +9,55% +13,69% +10,98% +21,76% +32,49%
    BlackRock BGF Fixed Income Global Opportunities Fund - E2 (USD) USD +0,15% +1,40% -0,72% -3,77% 0,00% -5,81% -2,68% +1,03% +5,19% +18,18%
    BlackRock BGF Fixed Income Global Opportunities Fund - E2 Hedged (EUR) EUR 0,00% +1,12% -1,31% -4,65% 0,00% -7,11% -4,95% -3,84% -5,35% +2,50%
    BlackRock BGF Global Corporate Bond Fund - A2 (USD) USD -0,21% +2,04% +0,14% -8,19% 0,00% -13,19% -11,32% -4,56% +3,47% +24,51%
    BlackRock BGF Global Corporate Bond Fund - A2 Hedged (EUR) EUR -0,25% +1,78% -0,41% -9,08% 0,00% -14,40% -13,29% -9,36% -7,04% +7,71%
    BlackRock BGF Global Corporate Bond Fund - E2 (USD) USD -0,23% +1,96% +0,08% -8,44% 0,00% -13,61% -12,21% -5,93% +0,93% +18,49%
    BlackRock BGF Global Corporate Bond Fund - E2 Hedged (EUR) EUR -0,27% +1,73% -0,44% -9,25% 0,00% -14,78% -14,12% -10,62% -9,25% +2,57%
    BlackRock BGF Global Government Bond Fund - A2 (USD) USD -0,03% +1,56% +0,07% -6,26% 0,00% -10,47% -10,28% -5,51% +2,80% +20,39%
    BlackRock BGF Global Government Bond Fund - A2 Hedged (EUR) EUR -0,08% +1,34% -0,45% -7,06% 0,00% -11,63% -12,11% -9,62% -6,95% +4,98%
    BlackRock BGF Global Government Bond Fund - E2 (USD) USD -0,04% +1,51% -0,08% -6,46% 0,00% -10,91% -11,16% -6,89% +0,27% +14,51%
    BlackRock BGF Global Government Bond Fund - E2 Hedged (EUR) EUR -0,09% +1,27% -0,60% -7,27% 0,00% -12,07% -13,03% -10,98% -9,26% -0,14%
    BlackRock BGF Global High Yield Bond Fund - A2 (USD) USD +1,19% +6,16% -2,04% -7,70% 0,00% -10,76% -3,05% +2,05% +9,78% +44,23%
    BlackRock BGF Global High Yield Bond Fund - A2 Hedged (GBP) GBP +1,12% +6,09% -2,42% -8,16% 0,00% -11,30% -4,07% -1,79% +1,85% +32,34%
    BlackRock BGF Global High Yield Bond Fund - A2 Hedged (PLN) PLN +1,33% +6,65% -1,23% -6,42% 0,00% -9,30% -1,97% +1,26% +6,81%
    BlackRock BGF Global High Yield Bond Fund - A2RF Hedged (EUR) EUR +1,12% +5,97% -2,74% -8,67% 0,00% -12,16% -5,50% -3,55% -1,92% +23,92%
    BlackRock BGF Global High Yield Bond Fund - E2 (EUR) EUR +1,09% +7,00% +1,41% +3,31% 0,00% +3,31% +12,14% +10,43% +24,01% +66,00%
    BlackRock BGF Global High Yield Bond Fund - E2 (USD) USD +1,16% +6,10% -2,21% -7,95% 0,00% -11,22% -4,04% +0,47% +7,02% +37,05%
    BlackRock BGF Global High Yield Bond Fund - E2 Hedged (EUR) EUR +1,11% +5,90% -2,81% -8,90% 0,00% -12,57% -6,44% -4,97% -4,34% +17,83%
    BlackRock BGF Global Inflation Linked Bond Fund - A2 (USD) USD -0,24% +1,98% +0,12% -1,02% 0,00% -2,19% +2,87% +6,72% +16,02% +29,29%
    BlackRock BGF Global Inflation Linked Bond Fund - A2 Hedged (EUR) EUR -0,35% +1,65% -0,49% -1,80% 0,00% -3,41% +0,71% +2,09% +4,88% +12,72%
    BlackRock BGF Global Inflation Linked Bond Fund - E2 Hedged (EUR) EUR -0,37% +1,61% -0,60% -2,06% 0,00% -3,84% -0,30% +0,53% +2,31% +7,26%
    BlackRock BGF Renminbi Bond Fund - A2 (CHF) CHF -0,52% -1,13% -5,32% +7,55% 0,00% +3,35% +10,36%
    BlackRock BGF Renminbi Bond Fund - A2 (USD) USD -0,14% -1,07% -2,25% -7,98% 0,00% -10,27% 0,00% +10,48% +17,05% +42,61%
    BlackRock BGF Renminbi Bond Fund - E2 (EUR) EUR -0,22% -0,22% +1,25% +0,62% 0,00% +3,85% +15,64% +19,60% +32,20% +64,24%
    BlackRock BGF Renminbi Bond Fund - E2 Hedged (EUR) EUR -0,10% -0,71% -1,80% -4,48% 0,00% -9,93% -10,26% -6,76% -4,39%
    BlackRock BGF US Dollar Core Bond Fund - A2 (USD) USD -0,73% +0,74% +0,46% -8,04% 0,00% -11,51% -11,75% -4,03% +2,19% +14,70%
    BlackRock BGF US Dollar Core Bond Fund - E2 (USD) USD -0,74% +0,69% +0,34% -8,26% 0,00% -11,93% -12,63% -5,48% -0,34% +9,08%
    BlackRock BGF US Dollar High Yield Bond Fund - A2 (USD) USD +1,16% +6,64% -0,67% -6,21% 0,00% -7,85% -0,36% +4,62% +12,34% +46,68%
    BlackRock BGF US Dollar High Yield Bond Fund - A2 Hedged (CHF) CHF +1,46% +1,46% -4,65% -7,10% 0,00% -9,79%
    BlackRock BGF US Dollar High Yield Bond Fund - A2 Hedged (EUR) EUR +1,09% +6,43% -1,32% -7,19% 0,00% -9,26% -2,78% -0,98% +0,45% +26,68%
    BlackRock BGF US Dollar High Yield Bond Fund - E2 (EUR) EUR +1,08% +7,54% +2,91% +5,02% 0,00% +6,71% +15,33% +13,28% +26,98% +68,99%
    BlackRock BGF US Dollar High Yield Bond Fund - E2 (USD) USD +1,16% +6,59% -0,77% -6,45% 0,00% -8,30% -1,34% +3,06% +9,54% +39,53%
    BlackRock BGF US Dollar Short Duration Bond Fund - A2 (USD) USD -0,30% +0,30% -0,59% -3,43% 0,00% -5,19% -4,05% -1,39% +2,58% +9,48%
    BlackRock BGF US Dollar Short Duration Bond Fund - A2 Hedged (EUR) EUR -0,32% +0,11% -1,05% -4,26% 0,00% -6,44% -6,16% -5,69% -7,36%
    BlackRock BGF US Dollar Short Duration Bond Fund - E2 (EUR) EUR -0,33% +1,10% +2,93% +8,05% 0,00% +9,74% +10,97% +6,80% +15,81% +26,08%
    BlackRock BGF US Dollar Short Duration Bond Fund - E2 (USD) USD -0,25% +0,25% -0,65% -3,65% 0,00% -5,67% -5,00% -2,80% 0,00% +4,11%
    BlackRock BGF US Government Mortgage Fund - A2 (USD) USD -0,94% +1,23% +1,45% -6,61% 0,00% -9,52% -9,21% -3,81% +0,05% +7,20%
    BlackRock BGF US Government Mortgage Fund - E2 (EUR) EUR -1,01% +2,07% +5,08% +4,56% 0,00% +4,82% +5,08% +4,17% +13,03% +23,45%
    BlackRock BGF US Government Mortgage Fund - E2 (USD) USD -0,93% +1,19% +1,31% -6,84% 0,00% -9,94% -10,08% -5,23% -2,46% +1,92%
    BlackRock BGF World Bond Fund - A2 (USD) USD -0,09% +1,67% -0,19% -6,74% 0,00% -10,44% -9,04% -4,24% +4,12% +20,27%
    BlackRock BGF World Bond Fund - A2 Hedged (EUR) EUR -0,14% +1,40% -0,73% -7,60% 0,00% -11,66% -11,07% -8,78% -6,21% +4,33%
    BlackRock BGF World Bond Fund - A2RF Hedged (GBP) GBP -0,09% +1,52% -0,35% -6,98% 0,00% -10,73% -9,51% -6,52% -1,82%
    BlackRock BGF World Bond Fund - E2 (EUR) EUR -0,16% +2,50% +3,38% +4,42% 0,00% +3,70% +5,27% +3,67% +17,66% +38,54%
    BlackRock BGF World Bond Fund - E2 (USD) USD -0,10% +1,61% -0,32% -6,98% 0,00% -10,88% -9,95% -5,69% +1,52% +14,37%
    BlackRock BSF Fixed Income Strategies Fund - A2 (EUR) EUR +0,12% +2,03% +0,59% -0,87% 0,00% -2,02% -0,76% +0,82% -0,23% +15,12%
    BlackRock BSF Fixed Income Strategies Fund - A2 Hedged (CHF) CHF -0,13% -0,95% -1,74% -1,92% 0,00% -2,01%
    BlackRock BSF Fixed Income Strategies Fund - A2RF Hedged (GBP) GBP +0,15% +2,19% +0,99% -0,15% 0,00% -0,99% +0,88% +3,17% +4,18%
    BlackRock BSF Fixed Income Strategies Fund - E2 (EUR) EUR +0,11% +1,99% +0,47% -1,11% 0,00% -2,51% -1,74% -0,72% -2,74% +9,42%
    BNP Paribas L1 Bond World Emerging Local (USD) USD +0,49% +0,55% -1,44% +3,01% 0,00% +7,92% -2,97% +3,60% -12,02%
    BNP Paribas L1 Bond World Plus (EUR) EUR +0,07% -0,58% -0,21% +2,63% 0,00% +5,73% +3,63% -5,37% -0,40% +8,33%
    BNP Paribas L1 Convertible Bond World (EUR) EUR +0,62% -1,18% -1,89% -1,89% 0,00% -0,88% -4,50% +1,74% +6,91%
    Fidelity Funds Asian High Yield Fund - A-ACC-EUR (EUR) EUR +0,62% +3,17% +9,14% +8,54% +18,52% +20,35% +31,47% -11,85% -17,42% +18,60%
    Fidelity Funds Asian High Yield Fund - A-ACC-USD (USD) USD -0,28% -0,21% +2,55% +4,70% +12,25% +15,38% +34,45% -18,47% -21,86% +0,21%
    Fidelity Funds Emerging Market Debt A-ACC-EUR (EUR) EUR +0,83% +3,13% +6,36% +7,20% +11,13% +18,31% +18,07% -9,64% -5,30% +28,10%
    Fidelity Funds Emerging Market Debt A-ACC-EUR (hgd) (EUR) EUR -0,09% -0,43% -0,51% +2,47% +3,66% +11,52% +15,85% -21,59% -18,40% -10,75%
    Fidelity Funds Emerging Market Debt A-ACC-USD (USD) USD -0,05% -0,20% -0,05% +3,40% +5,18% +13,39% +20,69% -16,43% -10,44% +8,28%
    Fidelity Funds Emerging Market Debt E-ACC-EUR (EUR) EUR +0,81% +3,10% +6,29% +6,99% +10,72% +17,89% +17,12% -10,74% -7,20% +23,15%
    Fidelity Funds European High Yield Fund A-ACC-EUR (EUR) EUR -0,04% +0,25% +2,46% +5,18% +6,98% +11,35% +20,25% +4,26% +11,71% +34,26%
    Fidelity Funds European High Yield Fund E-ACC-EUR (EUR) EUR -0,07% +0,20% +2,35% +5,04% +6,71% +11,05% +19,61% +3,46% +10,31% +30,92%
    Fidelity Funds Global High Grade Income Fund A-ACC-USD (USD) USD 0,00% +0,15% +1,44% +3,96% +6,26% +9,03% +16,02% +9,93% +14,73% +10,20%
    Fidelity Funds Global High Yield Focus Fund A-ACC-USD (USD) USD -0,06% +0,25% +2,26% +4,75% +8,23% +13,11% +19,49% +1,81% +10,13% +36,03%
    Fidelity Funds Global Income Fund A-ACC-EUR (hedged) (EUR) EUR -0,17% -0,59% +0,43% +3,82% +4,09% +8,03% +11,11% -3,54% +0,52% +11,01%
    Fidelity Funds Global Income Fund A-ACC-USD (USD) USD -0,22% -0,51% +0,82% +4,71% +5,61% +9,81% +15,61% +2,42% +9,63% +30,04%
    Fidelity Funds Global Strategic Bond A-ACC-EUR (hdg) (EUR) EUR 0,00% -0,63% -0,63% +1,66% +1,20% +5,36% +6,80% -8,41% -4,18% -1,52%
    Fidelity Funds Global Strategic Bond A-ACC-PLN (hdg) (PLN) PLN +0,07% -0,43% 0,00% +2,82% +3,05% +7,53% +14,55% +4,37% +11,24% +26,00%
    Fidelity Funds Global Strategic Bond A-ACC-USD (USD) USD 0,00% -0,53% -0,18% +2,54% +2,72% +7,10% +10,98% -2,92% +4,24% +11,75%
    Fidelity Funds Global Strategic Bond E-ACC-EUR (hgd) (EUR) EUR 0,00% -0,68% -0,76% +1,36% +0,73% +4,74% +5,53% -10,01% -6,96% -7,31%
    Fidelity Funds US High Yield Fund A-ACC-EUR (EUR) EUR +0,83% +3,59% +8,37% +8,67% +12,05% +15,77% +14,68% +15,39% +25,72% +75,73%
    Fidelity Funds US High Yield Fund A-ACC-USD (USD) USD 0,00% +0,27% +1,84% +4,89% +6,11% +11,02% +17,37% +6,79% +18,98% +48,66%
    Franklin Euro High Yield Fund - A(acc) (EUR) EUR +1,25% +4,80% +0,31% -2,24% 0,00% -10,02% -9,16% -8,55% -15,92% +7,59%
    Franklin Euro High Yield Fund - N(acc) (EUR) EUR +1,25% +4,80% +0,31% -2,24% 0,00% -10,02% -9,16% -8,55% -6,70% +15,84%
    Franklin Euro Short Duration Bond Fund - A(acc) (EUR) EUR 0,00% +0,30% -0,90% -1,59% 0,00% -2,65% -3,31% -2,55% -3,41%
    Franklin Euro Short Duration Bond Fund - N(acc) (EUR) EUR 0,00% +0,21% -1,05% -1,87% 0,00% -3,17% -4,35% -4,15% -6,06%
    Franklin European Total Return Fund - A(acc) (EUR) EUR +0,42% +2,21% -2,58% -5,29% 0,00% -12,94% -15,61% -10,21% -5,85% +14,18%
    Franklin European Total Return Fund - N(acc) (EUR) EUR +0,40% +2,20% -2,72% -5,65% 0,00% -13,60% -16,81% -12,08% -9,08% +6,46%
    Franklin GCC Bond Fund - A(acc) (USD) USD +2,29% +6,39% -2,92% -4,34% 0,00% -9,65% -3,64% +5,18% +22,09%
    Franklin Global Aggregate Bond Fund - A(acc) (EUR) EUR +0,23% +0,54% -3,87% -0,68% 0,00% -5,26% -5,40% -6,34% +4,78% +15,55%
    Franklin Global Aggregate Bond Fund - A(acc) (USD) USD +1,14% +4,18% -0,31% -4,33% 0,00% -13,52% -18,25% -12,04% -8,47% -7,87%
    Franklin Global Aggregate Bond Fund - A(acc)H1 (EUR) EUR +0,98% +3,79% -1,44% -6,17% 0,00% -15,88% -21,36% -16,82% -18,71% -21,88%
    Franklin Global Aggregate Bond Fund - N(acc) (EUR) EUR +0,17% +0,42% -4,05% -1,14% 0,00% -5,99% -6,78% -8,34% +1,09% +7,75%
    Franklin Global Aggregate Bond Fund - N(acc) (USD) USD +1,01% +4,06% -0,55% -4,78% 0,00% -14,16% -19,41% -13,83% -11,63% -13,83%
    Franklin Global Aggregate Bond Fund - N(acc)H1 (EUR) EUR +1,07% +3,70% -1,69% -6,43% 0,00% -16,45% -22,36% -18,60% -21,55% -27,07%
    Franklin Global Convertible Securities Fund - A(acc) (EUR) EUR -0,31% -1,68% -3,95% +2,58% 0,00% -7,66% +4,62% +29,65% +68,96% +153,94%
    Franklin Global Convertible Securities Fund - A(acc) (USD) USD +0,61% +1,95% -0,35% -1,25% 0,00% -15,72% -9,58% +21,73% +47,43% +102,97%
    Franklin Global Convertible Securities Fund - A(acc)H1 (CHF) CHF +0,56% +1,56% -1,58% -3,22% 0,00% -18,43% -13,71% +14,45% +29,40% +67,60%
    Franklin Global Convertible Securities Fund - A(acc)H1 (EUR) EUR +0,56% +7,53% -2,34% -2,78% 0,00% -6,22% -8,90% +4,23%
    Franklin Global Convertible Securities Fund - N(acc) (EUR) EUR -0,29% -1,73% -4,11% +2,23% 0,00% -8,35% +3,07% +26,84% +62,82% +135,84%
    Franklin Global Convertible Securities Fund - N(acc) (USD) USD +0,55% +1,90% -0,54% -1,61% 0,00% -16,38% -10,96% +19,01% +42,04% +88,26%
    Franklin High Yield Fund - A(acc) (USD) USD +0,57% +1,26% -0,97% -2,67% 0,00% -8,47% -5,57% +0,21% +7,44% +26,41%
    Franklin High Yield Fund - N(acc) (USD) USD +0,57% +1,20% -1,12% -2,95% 0,00% -9,01% -6,69% -1,57% +4,31% +19,04%
    HSBC GIF Asian Currencies Bond AC (USD) USD -0,99% -4,30% +6,08% +2,81% 0,00% -7,66% -15,37% -11,26% -7,39% -12,44%
    HSBC GIF Asian Currencies Bond ACEUR (EUR) EUR -0,70% -2,64% +2,79% -3,86% 0,00% -1,63% -3,35% -9,54% +7,47% +8,25%
    HSBC GIF Brazil Bond AC (USD) USD +2,34% +1,79% +9,71% +3,47% 0,00% +5,95% +10,01% -9,93% -16,40% -17,06%
    HSBC GIF Euro Bond EC (EUR) EUR -0,18% -1,62% -2,60% -5,29% 0,00% -13,70% -18,91% -19,73% -13,96% -1,53%
    HSBC GIF Euro Credit Bond EC (EUR) EUR -0,16% -0,82% -0,66% -2,76% 0,00% -9,97% -14,54% -14,21% -10,71% +2,25%
    HSBC GIF Euro High Yield Bond EC (EUR) EUR -0,63% +0,07% +2,20% +1,84% 0,00% -5,36% -8,83% -7,56% -1,65% +24,02%
    HSBC GIF Global Bond EC (USD) USD -0,70% -2,89% +1,53% -2,01% 0,00% -13,98% -19,45% -13,90% -11,14% -9,56%
    HSBC GIF Global Emerging Markets Bond EC (USD) USD -0,44% -2,79% +2,54% +0,74% 0,00% -14,31% -21,80% -23,93% -17,15% -10,83%
    HSBC GIF Global Emerging Markets Local Debt EC (USD) USD +0,01% -1,96% +4,22% +5,10% 0,00% -8,17% -13,38% -10,98% -16,16% -23,19%
    HSBC GIF Global High Income Bond AC (USD) USD -0,40% -1,60% +2,73% -0,37% 0,00% -10,24% -15,14% -11,83% -0,56% +16,86%
    HSBC GIF US Dollar Bond EC (USD) USD -0,46% -2,12% +0,77% -3,10% 0,00% -10,59% -14,48% -12,55% -1,97% +1,24%
    JPM Aggregate Bond Fund JPM A (acc) (hedged) (EUR) EUR -1,07% -0,60% -1,19% +2,21% 0,00% -6,31% -11,60% -9,08% -5,03% +1,71%
    JPM Aggregate Bond Fund JPM A (acc) (USD) USD -1,03% -0,48% -0,55% +3,60% 0,00% -3,94% -8,46% -4,95% +4,96% +17,57%
    JPM Asia Local Currency Debt Fund JPM A (acc) (USD) USD -0,34% +1,85% +5,56% +3,21% 0,00% -2,52% +0,17% -4,77% +4,23%
    JPM China Bond Fund JPM A (acc) (CNH) CNH +0,21% +0,54% +1,34% +4,89% 0,00% +4,43% +7,39% +11,04%
    JPM Emerging Markets Bond Fund JPM A (acc) (USD) USD +0,59% +0,56% -0,84% -1,05% 0,00% -5,66% +3,60% +12,79% +17,72% +107,44%
    JPM Emerging Markets Corporate Bond Fund JPM A (acc) - Duration (hedged) (USD) USD +1,31% +2,01% -0,32% +8,76% 0,00% -0,44% -4,60% +15,22% +3,36%
    JPM Emerging Markets Corporate Bond Fund JPM A (acc) (CHF) CHF +0,12% +1,05% -1,60% +7,40% 0,00% -7,04% -15,59% -2,25% -10,62%
    JPM Emerging Markets Corporate Bond Fund JPM A (acc) (hedged) (EUR) EUR +0,18% +1,24% -1,23% +8,30% 0,00% -6,21% -14,63% -0,86% -8,57% -0,17%
    JPM Emerging Markets Corporate Bond Fund JPM A (acc) (USD) USD +0,23% +1,41% -0,59% +10,11% 0,00% -3,20% -11,07% +4,31% +2,02% +16,68%
    JPM Emerging Markets Debt Fund JPM A (acc) (hedged) (EUR) EUR -0,51% +1,38% -2,49% +10,12% 0,00% -10,51% -23,05% -9,06% -20,61% -12,96%
    JPM Emerging Markets Debt Fund JPM A (acc) (hedged) (GBP) GBP -0,47% +1,55% -2,14% +11,00% 0,00% -9,46% -21,60% -6,70% -17,60%
    JPM Emerging Markets Debt Fund JPM A (acc) (USD) USD -0,43% +1,63% -1,78% +12,10% 0,00% -7,14% -19,35% -3,41% -10,64% +2,69%
    JPM Emerging Markets Investment Grade Bond Fund JPM A (acc) (hedged) (CHF) CHF -0,34% +1,45% -0,35% +7,35% 0,00% -6,76% -17,32% -9,41% -8,67% -8,84%
    JPM Emerging Markets Investment Grade Bond Fund JPM A (acc) (hedged) (EUR) EUR -0,30% +1,64% +0,05% +8,19% 0,00% -5,98% -16,44% -8,21% -6,69% -4,46%
    JPM Emerging Markets Investment Grade Bond Fund JPM A (acc) (USD) USD -0,24% +1,82% +0,69% +10,02% 0,00% -2,99% -12,98% -3,42% +3,94% +11,67%
    JPM Emerging Markets Local Currency Debt Fund JPM A (acc) (EUR) EUR +0,14% +1,10% +1,10% +3,66% 0,00% +0,27% +2,57% +5,51% +3,44% -3,85%
    JPM Emerging Markets Local Currency Debt Fund JPM A (acc) (SGD) SGD +0,66% +3,31% +2,87% +8,58% 0,00% -0,12% -6,45% -0,65% -6,86% -13,47%
    JPM Emerging Markets Local Currency Debt Fund JPM A (acc) (USD) USD +0,44% +3,94% +1,77% +15,83% 0,00% +1,77% -6,45% +5,92% -8,47% -19,90%
    JPM Emerging Markets Strategic Bond Fund JPM A (acc) (USD) USD +0,05% +2,43% +0,11% +13,00% 0,00% -1,95% -11,81% +3,89% -4,43%
    JPM Emerging Markets Strategic Bond Fund JPM A (perf) (acc) (USD) USD +0,06% +2,46% +0,17% +13,17% 0,00% -1,66% -11,48% +4,05% -3,43% +7,34%
    JPM EU Government Bond Fund JPM A (acc) (EUR) EUR -1,94% -1,87% -1,94% +0,51% 0,00% -10,35% -18,03% -15,66% -10,82% +6,79%
    JPM Euro Aggregate Bond Fund JPM A (acc) (EUR) EUR -1,76% -1,45% -1,92% +0,74% 0,00% -9,52% -16,03% -12,05% -10,77% +2,17%
    JPM Euro Corporate Bond Fund JPM A (acc) (EUR) EUR -0,96% +0,42% -0,76% +3,15% 0,00% -6,92% -13,63% -8,63% -9,50% +3,60%
    JPM Euro Government Short Duration Bond Fund JPM A (acc) (EUR) EUR -0,47% -0,37% -0,09% 0,00% 0,00% -2,65% -4,14% -3,71% -5,00% -2,74%
    JPM Euro Short Duration Bond Fund JPM A (acc) (EUR) EUR 0,00% -0,18% -0,36% -0,54% 0,00% -0,72% -0,99% -1,70% +1,10%
    JPM Europe High Yield Bond Fund JPM A (acc) (EUR) EUR +0,45% +2,10% -0,20% +8,59% 0,00% -1,77% -6,64% +4,88% +1,16% +30,93%
    JPM Financials Bond Fund JPM A (acc) (EUR) EUR -0,59% +0,77% -1,88% +4,86% 0,00% -7,57% -15,49% -10,75% -7,23% +5,70%
    JPM Flexible Credit Fund JPM A (acc) (hedged) (EUR) EUR 0,00% +1,84% -0,66% +4,79% 0,00% -3,49% -8,06% +1,65% +0,29% +13,27%
    JPM Flexible Credit Fund JPM A (acc) (USD) USD 0,00% +2,01% -0,06% +6,36% 0,00% -0,75% -4,54% +6,62% +11,38% +31,43%
    JPM Global Absolute Return Bond Fund JPM A (acc) (hedged) (EUR) EUR +0,22% -0,19% -0,46% -1,76% 0,00% -3,66% -5,46% -7,00% -7,77%
    JPM Global Absolute Return Bond Fund JPM A (acc) (USD) USD +0,26% +0,03% +0,20% -0,32% 0,00% -0,68% +0,16% +0,26% +1,03%
    JPM Global Aggregate Bond Fund JPM A (acc) (USD) USD -1,20% 0,00% -1,59% +8,20% 0,00% -6,70% -15,13% -9,49% -6,42% -1,59%
    JPM Global Bond Opportunities Fund JPM A (acc) (hedged) (EUR) EUR -0,56% +1,19% -0,80% +5,13% 0,00% -3,97% -8,10% +1,05% -0,85% +14,58%
    JPM Global Bond Opportunities Fund JPM A (acc) (hedged) (SEK) SEK -0,57% +1,19% -0,72% +5,27% 0,00% -3,67% -7,62% +1,84% -0,06% +15,96%
    JPM Global Bond Opportunities Fund JPM A (acc) (USD) USD -0,52% +1,36% -0,18% +6,71% 0,00% -1,20% -4,52% +6,03% +10,16% +32,95%
    JPM Global Convertibles Fund JPM A (acc) (EUR) EUR +1,50% +3,27% -0,34% +5,84% 0,00% -16,94% -30,46% +0,27% -5,71% +16,46%
    JPM Global Convertibles Fund JPM A (acc) (hedged) (CHF) CHF +1,45% +3,11% -0,59% +5,17% 0,00% -17,71% -31,08% -0,86% -7,45% +11,54%
    JPM Global Convertibles Fund JPM A (acc) (USD) USD +0,81% +2,06% -0,15% +5,71% 0,00% -3,91% -12,25% +10,40% +5,70% +35,33%
    JPM Global Convertibles Fund JPMorgan A (acc) (hedged) (SGD) SGD +0,74% +1,99% -0,40% +5,31% 0,00% -4,43% -12,64% +9,63% +3,10%
    JPM Global Corporate Bond Fund JPM A (acc) - Duration (hedged) (USD) USD +0,86% +1,75% +0,79% +5,53% 0,00% +2,59% +0,17% +11,24% +8,35% +18,05%
    JPM Global Corporate Bond Fund JPM A (acc) (hedged) (CHF) CHF -0,86% +0,63% -0,57% +4,64% 0,00% -7,00% -15,57% -12,44% -7,84% -1,75%
    JPM Global Corporate Bond Fund JPM A (acc) (hedged) (EUR) EUR -0,90% +0,75% -0,17% +5,79% 0,00% -5,85% -14,35% -10,93% -5,41% +3,43%
    JPM Global Corporate Bond Fund JPM A (acc) (hedged) (NOK) NOK -0,83% +0,81% 0,00% +6,51% 0,00% -4,60% -12,25% -8,24% -0,22%
    JPM Global Corporate Bond Fund JPM A (acc) (hedged) (SEK) SEK -0,84% +0,79% -0,03% +6,02% 0,00% -5,46% -13,78% -10,12% -4,49% +4,85%
    JPM Global Corporate Bond Fund JPM A (acc) (hedged) & Duration (hedged) (EUR) EUR +0,82% +1,55% +0,19% +4,08% 0,00% -0,03% -3,28% +6,42% -2,15% +2,10%
    JPM Global Corporate Bond Fund JPM A (acc) (USD) USD -0,78% +0,91% +0,45% +7,50% 0,00% -3,11% -10,97% -6,52% +5,02% +20,15%
    JPM Global Government Bond Fund JPM A (acc) (EUR) EUR -1,49% -1,00% -0,25% +1,98% 0,00% -6,39% -13,17% -14,42% -7,70% +0,51%
    JPM Global Government Bond Fund JPM A (acc) (hedged) (USD) USD -1,43% -0,86% +0,29% +3,41% 0,00% -4,05% -10,14% -10,65% +1,83% +16,12%
    JPM Global Government Short Duration Bond Fund JPM A (acc) (EUR) EUR -0,40% -0,10% +0,30% +0,90% 0,00% -1,66% -4,28% -4,28% -4,00% -4,46%
    JPM Global Government Short Duration Bond Fund JPM A (acc) (hedged) (CHF) CHF -0,02% +0,02% -0,55% -0,78% 0,00% -0,56% -1,06%
    JPM Global Government Short Duration Bond Fund JPM A (acc) (hedged) (USD) USD -0,34% 0,00% +0,83% +2,23% 0,00% +0,69% -1,08% -0,34% +5,78% +10,32%
    JPM Global High Yield Bond Fund JPM A (acc) (hedged) (AUD) AUD +0,63% +2,09% -1,01% +5,13% 0,00% -3,79% -6,82% +6,54% +4,87%
    JPM Global High Yield Bond Fund JPM A (acc) (hedged) (CHF) CHF +0,55% +1,87% -1,55% +3,84% 0,00% -5,53% -9,16% +3,05% -2,09% +11,66%
    JPM Global High Yield Bond Fund JPM A (acc) (hedged) (EUR) EUR +0,61% +2,06% -1,18% +4,61% 0,00% -4,73% -8,16% +4,38% -0,04% +16,53%
    JPM Global High Yield Bond Fund JPM A (acc) (hedged) (HUF) HUF +0,96% +3,21% +2,41% +12,03% 0,00% +6,65% +5,21% +20,55% +16,13%
    JPM Global High Yield Bond Fund JPM A (acc) (USD) USD +0,67% +2,26% -0,54% +6,20% 0,00% -1,87% -4,47% +9,75% +11,39% +36,17%
    JPM Global Short Duration Bond Fund JPM A (acc) (hedged) (EUR) EUR -0,28% 0,00% -0,14% +0,71% 0,00% -2,07% -4,83% -4,06% -5,09% -6,09%
    JPM Global Short Duration Bond Fund JPM A (acc) (USD) USD -0,34% +0,17% +0,43% +1,93% 0,00% +0,26% -1,61% -0,09% +4,59% +8,39%
    JPM Global Strategic Bond Fund JPM A (acc) (USD) USD -0,11% +1,30% +0,72% +4,37% 0,00% +0,16% -2,47% +4,46% +7,10%
    JPM Global Strategic Bond Fund JPM A (perf) (acc) (hedged) (CHF) CHF -0,19% +0,96% -0,23% +2,27% 0,00% -3,04% -6,45% -0,92% -4,46% -2,51%
    JPM Global Strategic Bond Fund JPM A (perf) (acc) (hedged) (EUR) EUR -0,15% +1,13% +0,16% +3,03% 0,00% -2,27% -5,56% +0,14% -2,64% +1,23%
    JPM Global Strategic Bond Fund JPM A (perf) (acc) (hedged) (GBP) GBP -0,12% +1,24% +0,53% +3,89% 0,00% -0,75% -3,35% +2,91% +2,28%
    JPM Global Strategic Bond Fund JPM A (perf) (acc) (hedged) (SEK) SEK -0,14% +1,14% +0,23% +3,21% 0,00% -1,84% -4,91% +1,09% -1,49% +2,84%
    JPM Global Strategic Bond Fund JPM A (perf) (acc) (USD) USD -0,10% +1,31% +0,77% +4,48% 0,00% +0,36% -2,12% +4,45% +7,54% +16,94%
    JPM Income Opportunity Fund JPM A (perf) (acc) (hedged) (CHF) CHF +0,10% -0,07% -0,17% -0,66% 0,00% -1,90% -3,33% -0,68% -6,25% -5,24%
    JPM Income Opportunity Fund JPM A (perf) (acc) (hedged) (EUR) EUR +0,15% +0,11% +0,24% +0,11% 0,00% -1,07% -2,34% +0,58% -4,36% -1,40%
    JPM Income Opportunity Fund JPM A (perf) (acc) (hedged) (SEK) SEK +0,16% +0,10% +0,31% +0,27% 0,00% -0,54% -1,44% +1,84% -3,01% +0,48%
    JPM Income Opportunity Fund JPM A (perf) (acc) (hedged) (SGD) SGD +0,18% +0,27% +0,72% +1,28% 0,00% +1,09% +0,82% +4,61% +3,93%
    JPM Income Opportunity Fund JPM A (perf) (acc) (USD) USD +0,20% +0,28% +0,82% +1,38% 0,00% +1,26% +0,83% +4,65% +5,34% +13,20%
    JPM Managed Reserves Fund JPM A (acc) (hedged) (EUR) EUR -0,02% +0,04% +0,33% +0,76% 0,00% -0,06% -1,62% -1,34% -3,05% -4,38%
    JPM Managed Reserves Fund JPM A (acc) (USD) USD +0,03% +0,22% +0,91% +2,09% 0,00% +2,33% +1,65% +2,80% +6,96% +9,95%
    JPM Sterling Bond Fund JPM A (acc) (GBP) GBP -2,38% -2,71% -3,34% +15,07% 0,00% -18,11% -28,06% -26,00% -15,04% +10,16%
    JPM US Aggregate Bond Fund JPM A (acc) (hedged) (EUR) EUR -1,10% -0,04% -0,33% +3,61% 0,00% -5,68% -13,54% -13,38% -7,33% -6,39%
    JPM US Aggregate Bond Fund JPM A (acc) (USD) USD -1,06% +0,12% +0,30% +5,20% 0,00% -3,12% -10,31% -9,29% +2,63% +8,60%
    JPM US Bond Fund JPM A (acc) (USD) USD -0,96% 0,00% -0,56% +5,11% 0,00% -3,75% -10,91% -8,59% +2,40% +9,67%
    JPM US High Yield Plus Bond Fund JPM A (acc) (hedged) (EUR) EUR +0,70% +2,16% -1,18% +4,70% 0,00% -5,86% -9,25% +4,25% +1,31% +17,85%
    JPM US High Yield Plus Bond Fund JPM A (acc) (USD) USD +0,76% +2,36% -0,55% +6,28% 0,00% -3,05% -5,61% +9,60% +12,90% +35,30%
    JPM US Short Duration Bond Fund JPM A (acc) (hedged) (EUR) EUR -0,25% +0,10% +0,22% +1,52% 0,00% -2,19% -6,12% -4,54% -3,16% -6,68%
    JPM US Short Duration Bond Fund JPM A (acc) (USD) USD -0,20% +0,25% +0,80% +2,90% 0,00% +0,24% -2,90% -0,45% +6,84% +7,93%
    KBC Bonds Capital Fund (EUR) EUR -0,13% +0,78% +1,07% +3,21% 0,00% -0,09% +0,09% +8,04% +5,43% +27,18%
    KBC Bonds Convertibles (EUR) EUR -1,66% -5,13% -1,80% -0,74% 0,00% +2,47% +13,00% +24,86% +17,27% +67,66%
    KBC Bonds Corporates Euro (EUR) EUR -0,12% 0,00% -0,86% -0,51% 0,00% -1,07% -0,11% +5,88% +6,91% +43,19%
    KBC Bonds Corporates USD (USD) USD +0,07% +0,64% -1,38% +0,65% 0,00% -0,26% +9,19% +27,04% +30,46% +55,10%
    KBC Bonds Emerging Europe (EUR) EUR -1,06% -2,61% -7,84% -7,37% 0,00% -10,13% -17,92% -8,61% -16,88% +0,41%
    KBC Bonds Emerging Markets (USD) USD -0,16% -0,03% -3,58% -2,02% 0,00% -4,34% +3,42% +12,67% +16,69% +51,29%
    KBC Bonds Europe (EUR) EUR -0,06% -0,50% +1,60% -2,15% 0,00% -0,50% +9,11% +8,04% +7,68% +38,63%
    KBC Bonds Europe Ex-EMU (EUR) EUR +0,27% +0,14% +0,91% -1,40% 0,00% -2,38% +0,81% +5,37% +0,29% +21,62%
    KBC Bonds High Interest Fund (EUR) EUR -0,28% +0,28% +0,21% +2,33% 0,00% -0,56% -3,17% +4,62% -2,90% +9,24%
    KBC Bonds Income Fund (EUR) EUR -0,13% +0,79% +0,44% +2,59% 0,00% -0,58% -1,36% +5,45% +0,40% +11,18%
    KBC Bonds Inflation-Linked Bonds (EUR) EUR +0,14% -0,31% +1,11% +3,76% 0,00% +5,29% +7,27% +13,48% +14,04% +46,39%
    Parvest Bond Asia Ex-japan (USD) USD +0,03% +0,10% +1,39% +6,74% 0,00% -2,94% -17,42% -12,29% -8,48%
    Parvest Bond Euro (EUR) EUR -0,18% +0,39% +0,50% -1,25% 0,00% -8,04% -15,86% -15,14% -13,65% -3,87%
    Parvest Bond Euro Corporate (EUR) EUR -0,23% +0,36% +0,18% +1,37% 0,00% -4,57% -13,31% -7,77% -8,06% +5,04%
    Parvest Bond Europe Emerging (EUR) EUR -0,29% -1,26% -3,35% +0,75% 0,00% -0,93% +1,07% -2,89%
    Parvest Bond World Emerging (USD) USD -0,68% -8,82% -9,69% -3,55% 0,00% -6,15% -32,73% -23,55% -34,21% -47,99%
    Parvest Bond World Emerging Local (USD) USD -0,52% +0,50% +5,06% +10,08% 0,00% +12,46% -12,79% -2,21% -13,25%
    Parvest Bond World High Yield (EUR) EUR -0,29% -0,62% +0,81% +2,62% 0,00% -0,18% -9,70% +2,59% -2,40%
    Parvest Convertible Bond Europe (EUR) EUR +0,19% +0,01% -1,06% +2,30% 0,00% -1,22% -12,24% -1,06% -9,28% -1,44%
    Parvest Convertible Bond World (EUR) EUR -1,83% -3,46% -5,02% -1,42% 0,00% +2,56% +10,28%
    Parvest Convertible Bond World (USD) USD -1,11% -0,68% +4,37% -5,49% 0,00% -7,65%
    Schroder ISF Asian Bond Absolute Return A Acc (USD) USD -0,28% +0,63% -0,69% -3,02% 0,00% -5,62% -3,02% +1,91% +10,57% +13,00%
    Schroder ISF Asian Bond Absolute Return Hedged A Acc (EUR) EUR -0,31% +0,39% -1,23% -3,96% 0,00% -6,98% -5,30% -2,71% -0,15% -1,64%
    Schroder ISF Asian Convertible Bond A Acc (USD) USD +0,72% -0,38% -1,41% -7,75% 0,00% -14,70% -3,78% +9,67% +12,94% +40,46%
    Schroder ISF Asian Convertible Bond Hedged A Acc (EUR) EUR +0,67% -0,63% -2,07% -8,78% 0,00% -16,11% -6,32% +4,34% +1,51% +22,50%
    Schroder ISF Asian Convertible Bond PLN Hedged (PLN) PLN +0,29% -0,63% -2,47% -8,31% 0,00% -13,65% -2,89% +7,18% +8,25% +42,74%
    Schroder ISF Emerging Market Bond A Acc (USD) USD -0,21% +3,86% -2,04% -11,09% 0,00% -18,89% -15,02% -15,93% -14,90% +0,56%
    Schroder ISF Emerging Market Bond Hedged A Acc (EUR) EUR -0,29% +3,55% -2,74% -12,15% 0,00% -20,31% -17,41% -20,31% -23,78% -13,34%
    Schroder ISF Emerging Market Corporate Bond A Acc (USD) USD 0,00% +1,86% -2,68% -13,15% 0,00% -22,18% -18,85% -17,06% -10,18% +8,36%
    Schroder ISF Emerging Market Corporate Bond Hedged A Acc (EUR) EUR -0,07% +1,54% -3,39% -14,18% 0,00% -23,50% -21,01% -21,05% -19,06% -5,78%
    Schroder ISF Emerging Market Local Currency Bond A Acc (USD) USD +0,51% +2,97% +7,29% -2,88% 0,00% +8,39% -6,37% -11,08%
    Schroder ISF Emerging Market Local Currency Bond Hedged A Acc (EUR) EUR +0,47% +2,80% +6,67% -4,00% 0,00% +6,17% -9,14% -13,82%
    Schroder ISF Emerging Markets Debt Absolute Return A Acc (USD) USD -0,37% +3,22% -2,33% -9,52% 0,00% -14,81% -13,63% -12,01% -13,94% -4,96%
    Schroder ISF Emerging Markets Debt Absolute Return Hedged A Acc (EUR) EUR -0,44% +2,93% -3,02% -10,58% 0,00% -16,27% -16,05% -16,39% -22,90% -18,28%
    Schroder ISF Emerging Markets Debt Absolute Return PLN Hedged (PLN) PLN +0,44% +3,37% -1,44% -11,06% 0,00% -13,95% -14,13% -13,43% -17,62% -4,14%
    Schroder ISF EURO Bond A Acc (EUR) EUR -1,12% -3,20% -4,40% -10,71% 0,00% -16,74% -15,50% -15,76% -8,38% +12,76%
    Schroder ISF EURO Corporate Bond A Acc (EUR) EUR -0,89% -1,25% -2,21% -8,25% 0,00% -14,73% -10,86% -10,41% -4,15% +24,41%
    Schroder ISF EURO Corporate Bond Duration Hedged A Acc (EUR) EUR -0,28% +0,73% -0,66% -3,34% 0,00% -7,72% -4,01% -3,13% -3,60% +12,70%
    Schroder ISF EURO Corporate Bond Hedged A Acc (USD) USD -0,81% -1,00% -1,67% -7,45% 0,00% -13,63% -9,01% -6,65% +5,21% +40,54%
    Schroder ISF EURO Credit Conviction PLN Hedged (PLN) PLN -2,42% +0,48% -0,35% -6,88% 0,00% -12,60% -7,59% -5,33% +4,86%
    Schroder ISF EURO Government Bond A Acc (EUR) EUR -1,10% -3,06% -4,01% -10,61% 0,00% -16,24% -15,65% -15,72% -7,47% +14,44%
    Schroder ISF EURO High Yield A Acc (EUR) EUR -0,88% +1,32% -2,68% -8,19% 0,00% -12,44% -1,12% -1,84% +0,28%
    Schroder ISF EURO Short Term Bond A Acc (EUR) EUR -0,29% -1,01% -1,58% -2,97% 0,00% -4,60% -4,86% -5,39% -5,39% -0,87%
    Schroder ISF Global Bond A Acc (USD) USD -1,00% -2,41% -5,86% -13,39% 0,00% -20,04% -18,80% -15,86% -11,93% -7,29%
    Schroder ISF Global Bond Hedged A Acc (EUR) EUR -0,92% -2,10% -3,51% -8,45% 0,00% -14,45% -14,03% -14,03% -11,18% +1,71%
    Schroder ISF Global Bond Hedged A Acc (USD) USD -0,86% -1,88% -2,98% -7,76% 0,00% -13,39% -12,25% -10,13% -1,85%
    Schroder ISF Global Convertible Bond A Acc (USD) USD -0,73% +3,14% +3,09% -6,38% 0,00% -17,20% -7,96% +7,51% +13,88% +56,05%
    Schroder ISF Global Convertible Bond Hedged A Acc (EUR) EUR -0,80% +2,83% +2,34% -7,50% 0,00% -18,69% -10,53% +2,02% +2,17% +35,88%
    Schroder ISF Global Corporate Bond A Acc (USD) USD -0,76% -0,85% -1,60% -7,44% 0,00% -13,47% -11,10% -4,96% +5,13% +24,49%
    Schroder ISF Global Corporate Bond Hedged A Acc (EUR) EUR -0,77% -1,11% -2,23% -8,37% 0,00% -14,69% -13,20% -9,34% -5,16% +8,34%
    Schroder ISF Global Credit Duration Hedged A Acc (EUR) EUR +0,04% +1,35% -4,24% -4,21% 0,00% -2,82% -4,17% -4,41% -3,12% +0,98%
    Schroder ISF Global Credit Duration Hedged Hedged A Acc (USD) USD +0,03% +1,40% -3,43% -2,82% 0,00% +0,03% +1,49% +3,52% +7,16%
    Schroder ISF Global High Income Bond A Acc (USD) USD -0,79% +1,48% -1,84% -7,33% 0,00% -12,01% -5,06% +1,87% +1,22% +27,35%
    Schroder ISF Global High Income Bond Hedged A Acc (EUR) EUR -0,84% +1,21% -2,51% -8,32% 0,00% -13,36% -7,41% -3,04% -9,03% +10,50%
    Schroder ISF Global High Yield A Acc (USD) USD -0,81% +1,48% -0,64% -6,24% 0,00% -10,05% -0,68% +1,31% +8,14% +44,75%
    Schroder ISF Global High Yield Hedged A Acc (EUR) EUR -0,90% +1,20% -1,32% -7,24% 0,00% -11,44% -3,22% -3,76% -2,84% +25,95%
    Schroder ISF Global Inflation Linked Bond A Acc (EUR) EUR -0,64% +0,06% -3,49% -9,83% 0,00% -12,82% -8,43% -7,24% -2,37% +9,14%
    Schroder ISF Global Inflation Linked Bond Hedged A Acc (USD) USD -0,61% +0,33% -2,90% -9,06% 0,00% -11,77% -6,57% -3,24% +7,28% +24,12%
    Schroder ISF Global Unconstrained Bond A Acc (USD) USD -0,05% -0,25% -1,08% -2,31% 0,00% -4,16% -2,14% +0,19% +7,45%
    Schroder ISF Global Unconstrained Bond Hedged A Acc (EUR) EUR -0,09% -0,49% -1,64% -3,14% 0,00% -5,38% -4,20% -4,95% -3,56%
    Schroder ISF Strategic Bond A Acc (USD) USD -0,09% -0,38% -1,67% -3,72% 0,00% -6,85% -3,94% -5,46% -4,18% +3,68%
    Schroder ISF Strategic Bond Hedged A Acc (EUR) EUR -0,14% -0,63% -2,27% -4,69% 0,00% -8,20% -6,20% -9,87% -13,63% -9,12%
    Schroder ISF US Dollar Bond A Acc (USD) USD -0,57% -1,17% -2,40% -8,35% 0,00% -13,67% -12,85% -6,04% +0,62% +10,50%
    Schroder ISF US Dollar Bond Hedged A Acc (EUR) EUR -0,60% -1,44% -3,02% -9,21% 0,00% -14,90% -14,88% -10,29% -9,21% -3,87%
    Templeton Asian Bond Fund - A(acc) (USD) USD +1,45% +5,49% -1,92% -5,82% 0,00% -10,33% -13,37% -13,61% -14,29% -15,70%
    Templeton Asian Bond Fund - A(acc)H1 (CHF) CHF +1,44% +5,03% -3,25% -7,65% 0,00% -12,85% -16,97% -18,72% -24,44% -30,11%
    Templeton Asian Bond Fund - A(acc)H1 (EUR) EUR +1,29% +4,91% -3,19% -7,75% 0,00% -12,96% -16,74% -18,33% -23,64% -27,86%
    Templeton Asian Bond Fund - N(acc) (USD) USD +1,41% +5,41% -2,08% -6,13% 0,00% -10,92% -14,55% -15,39% -17,19% -21,40%
    Templeton Global Bond (Euro) Fund - A(acc) (EUR) EUR +0,42% +1,98% -1,74% -5,04% 0,00% -9,95% -12,99% -17,47% -24,98% -19,76%
    Templeton Global Bond (Euro) Fund - N(acc) (EUR) EUR +0,39% +1,97% -1,89% -5,30% 0,00% -10,60% -14,23% -19,17% -27,53% -25,13%
    Templeton Global Bond Fund - A(acc) (EUR) EUR +0,37% -0,08% -6,41% -3,62% 0,00% +1,13% +0,96% -9,55% -3,39% +12,84%
    Templeton Global Bond Fund - A(acc) (USD) USD +1,25% +3,60% -2,98% -7,22% 0,00% -7,73% -12,81% -15,11% -15,74% -9,92%
    Templeton Global Bond Fund - A(acc)H1 (CHF) CHF +1,18% +3,18% -4,17% -8,99% 0,00% -10,37% -16,34% -20,10% -25,59% -24,70%
    Templeton Global Bond Fund - A(acc)H1 (EUR) EUR +1,15% +3,20% -4,19% -9,10% 0,00% -10,34% -16,20% -19,57% -24,79% -21,92%
    Templeton Global Bond Fund - N(acc) (EUR) EUR +0,36% -0,13% -6,61% -3,98% 0,00% +0,40% -0,49% -11,44% -6,73% +5,15%
    Templeton Global Bond Fund - N(acc) (USD) USD +1,27% +3,57% -3,13% -7,53% 0,00% -8,34% -14,01% -16,88% -18,63% -16,00%
    Templeton Global Bond Fund - N(acc)H1 (EUR) EUR +1,24% +3,17% -4,31% -9,39% 0,00% -10,88% -17,22% -21,23% -27,32% -27,21%
    Templeton Global Bond Fund - N(acc)H1 (PLN) PLN +1,30% +3,46% -2,83% -6,49% 0,00% -6,57% -12,78% -16,16% -19,46% -10,02%
    Templeton Global High Yield Fund - A(acc) (EUR) EUR +0,23% -1,26% -5,19% -4,99% 0,00% -5,39% +0,91% -5,79% +0,91% +26,69%
    Templeton Global High Yield Fund - A(acc) (USD) USD +1,17% +2,45% -1,71% -8,50% 0,00% -13,66% -12,84% -11,55% -11,95% +1,25%
    Templeton Global High Yield Fund - N(acc) (EUR) EUR +0,33% -1,20% -5,30% -5,15% 0,00% -5,80% -0,08% -7,15% -1,59% +20,63%
    Templeton Global Total Return Fund - A(acc) (USD) USD +1,74% +4,47% -4,18% -11,90% 0,00% -15,35% -20,10% -24,16% -27,53% -19,75%
    Templeton Global Total Return Fund - A(acc)H1 (CHF) CHF +1,53% +3,92% -5,60% -13,77% 0,00% -17,96% -23,64% -28,80% -36,29% -33,17%
    Templeton Global Total Return Fund - A(acc)H1 (EUR) EUR +1,62% +4,08% -5,55% -13,97% 0,00% -18,16% -23,64% -28,70% -35,77% -30,88%
    Templeton Global Total Return Fund - A(acc)H1 (PLN) PLN +1,75% +4,32% -4,18% -11,42% 0,00% -14,63% -19,95% -24,63% -29,48% -15,83%
    Templeton Global Total Return Fund - N(acc) (USD) USD +1,73% +4,41% -4,38% -12,21% 0,00% -15,93% -21,22% -25,76% -30,04% -25,19%
    Templeton Global Total Return Fund - N(acc)H1 (EUR) EUR +1,69% +3,98% -5,65% -14,19% 0,00% -18,66% -24,62% -29,94% -37,80% -35,46%
    WIOF Global Emerging Markets Bond Fund - Class A (EUR) EUR -0,51% -1,42% -0,15% -7,02% 0,00% -16,02% -18,44% -23,78% -21,41% -33,58%
    WIOF Global Emerging Markets Bond Fund - Class A (PLN) PLN +0,21% -1,14% +2,25% -4,22% 0,00% -14,56% -19,15% -21,03% -21,83% -14,70%
    WIOF Global Emerging Markets Bond Fund - Class A (USD) USD -0,33% -2,15% -5,61% -8,80% 0,00% -12,28% -16,36% -20,69% -30,15% -50,44%
    Biznesradar bez reklam? Sprawdź BR Plus