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  • Fundusze zagraniczne - Papierów dłużnych

    Stopy zwrotu

    Nazwa Waluta 1T 1m 3m 6m YTD 12m 24m 36m 60m 120m 1r 3m
    Nazwa Waluta 1T 1m 3m 6m YTD 12m 24m 36m 60m 120m 1r 3m
    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 (USD) USD +0,22% +2,16% -3,52% -16,86% 0,00% -24,23% -24,01% -18,61% -16,96% +0,18%
    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 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 (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 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%
    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%
    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%
    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%
    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%
    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%
    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%
    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 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%
    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 - 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 (PLN) PLN +1,45% +5,26% +1,45% -12,21% 0,00% -14,79% -13,12% -14,27% -21,33% -19,44%
    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%
    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%
    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%
    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%
    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 (PLN) PLN +1,75% +4,32% -4,18% -11,42% 0,00% -14,63% -19,95% -24,63% -29,48% -15,83%
    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%
    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%
    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%
    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 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 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 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 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%
    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%
    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%
    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 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%
    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%
    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%
    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%
    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%
    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%
    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%
    Fidelity Funds US High Yield Fund A-ACC-EUR (EUR) EUR -0,37% -0,51% +0,69% -8,70% -8,50% -1,18% +10,04% +5,12% +22,07% +42,71%
    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%
    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%
    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%
    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%
    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 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 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 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%
    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%
    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 High Yield A Acc (EUR) EUR -0,88% +1,32% -2,68% -8,19% 0,00% -12,44% -1,12% -1,84% +0,28%
    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 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 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 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 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%
    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%
    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%
    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%
    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%
    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%
    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%
    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%
    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 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 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%
    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%
    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%
    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%
    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%
    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%
    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%
    Fidelity Funds Emerging Market Debt E-ACC-EUR (EUR) EUR +0,10% -0,50% +0,20% -7,17% -7,00% -0,70% +10,59% +7,67% -10,34% +2,78%
    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 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%
    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%
    Fidelity Funds Emerging Market Debt A-ACC-EUR (EUR) EUR +0,09% -0,41% +0,32% -6,99% -6,79% -0,28% +11,52% +9,00% -8,48% +7,01%
    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 (USD) USD -0,10% +1,61% -0,32% -6,98% 0,00% -10,88% -9,95% -5,69% +1,52% +14,37%
    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%
    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%
    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%
    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 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%
    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 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%
    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%
    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 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%
    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%
    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 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%
    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%
    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%
    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%
    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%
    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%
    Fidelity Funds Asian High Yield Fund - A-ACC-EUR (EUR) EUR +0,06% +0,48% +0,60% -6,16% -6,53% +0,36% +14,27% +17,12% -18,63% -3,59%
    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%
    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 Bond Fund - A2 Hedged (USD) USD +0,23% +3,27% +0,54% -6,03% 0,00% -10,83% -9,52% -6,98% +5,38%
    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%
    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%
    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%
    Parvest Convertible Bond World (USD) USD -1,11% -0,68% +4,37% -5,49% 0,00% -7,65%
    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%
    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%
    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%
    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 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 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%
    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%
    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%
    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 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 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%
    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) (USD) USD +1,14% +4,18% -0,31% -4,33% 0,00% -13,52% -18,25% -12,04% -8,47% -7,87%
    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%
    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%
    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%
    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%
    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%
    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%
    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%
    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%
    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%
    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 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 (USD) USD +0,15% +1,40% -0,72% -3,77% 0,00% -5,81% -2,68% +1,03% +5,19% +18,18%
    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%
    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%
    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%
    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%
    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%
    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 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%
    Allianz Advanced Fixed Income Euro - A (EUR) EUR +0,10% -0,06% -1,72% -3,42% 0,00% -1,11%
    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%
    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%
    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%
    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%
    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%
    Allianz Rendite Plus 2015 - A (EUR) EUR -0,03% +0,04% -0,46% -3,03% 0,00% -2,98% -3,93% -3,01%
    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 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%
    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%
    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 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%
    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%
    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%
    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%
    BlackRock BGF Fixed Income Global Opportunities Fund - A2 Hedged (CHF) CHF +0,10% -0,82% -2,51% -2,70% 0,00% -4,51%
    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%
    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 Credit SRI - A (EUR) EUR +0,38% +0,67% -0,25% -2,58% 0,00% +4,54% +0,84%
    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 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 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%
    Allianz Euro Investment Grade Bond Strategy - A (EUR) EUR +0,42% +0,64% -0,08% -2,39% 0,00% +3,52%
    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%
    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%
    Allianz Emerging Markets Bond Extra 2020 - A (EUR) EUR +0,17% +1,08% -1,56% -2,29% 0,00% +6,20% +1,77%
    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%
    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%
    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%
    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%
    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 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%
    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%
    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%
    BlackRock BSF Fixed Income Strategies Fund - A2 Hedged (CHF) CHF -0,13% -0,95% -1,74% -1,92% 0,00% -2,01%
    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%
    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%
    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%
    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%
    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%
    AB Emerging Market Local Currency Debt Portfolio A2 PLN H PLN +0,98% +1,19% +2,01% -1,74% +4,37% +0,18% +10,02% +12,55% -5,81%
    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 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%
    Allianz Euro Credit SRI - AT (EUR) EUR +0,39% +0,67% +0,89% -1,48% 0,00% +5,76% +2,85%
    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%
    Parvest Convertible Bond World (EUR) EUR -1,83% -3,46% -5,02% -1,42% 0,00% +2,56% +10,28%
    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%
    Allianz Emerging Markets Bond Extra 2018 - A (EUR) EUR +0,12% +0,72% -1,70% -1,26% 0,00% +5,66% +1,92%
    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%
    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%
    Allianz Flexible Bond Strategy - AT (EUR) EUR +0,12% +0,15% -0,24% -1,24% 0,00% +0,77% -4,20%
    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%
    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%
    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%
    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%
    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%
    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 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%
    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%
    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%
    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%
    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 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%
    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%
    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%
    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%
    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%
    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%
    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%
    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%
    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 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%
    Allianz Rendite Plus 2017 - A (EUR) EUR +0,02% +0,06% +0,26% +0,40% 0,00% +1,63% -4,26% -3,42%
    Allianz Flexi Asia Bond - AT (USD) USD +0,35% +1,78% +3,25% +0,44% 0,00% +9,15% +9,05% +10,31%
    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%
    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%
    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%
    AB American Income Portfolio A2 PLN H PLN -0,04% +1,01% +1,04% +0,71% +2,48% +6,32% +14,28% +8,19% +4,26%
    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%
    AB Global Income Portfolio A2 PLN H PLN +0,03% +1,08% +1,06% +0,73% +2,56% +6,11% +14,33% +8,02% +3,94%
    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%
    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%
    Parvest Bond Europe Emerging (EUR) EUR -0,29% -1,26% -3,35% +0,75% 0,00% -0,93% +1,07% -2,89%
    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 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%
    Allianz Rendite Plus 2019 - A (EUR) EUR +0,14% +0,51% +1,21% +0,98% 0,00% +4,31% +0,39%
    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 High Yield Bond Extra 2017 - A (EUR) EUR +0,03% +0,03% +0,50% +1,08% 0,00% +8,34% -3,61% -5,93%
    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%
    AB European Income Portfolio A2 PLN H PLN -1,76% -1,50% -1,14% +1,34% -0,42% +5,61% +18,59% +14,55% +17,09%
    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%
    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 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%
    Fidelity Funds Global Strategic Bond E-ACC-EUR (hgd) (EUR) EUR +0,42% +0,18% +0,90% +1,62% +1,55% +1,83% +5,92% +2,08% -9,55% -5,17%
    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%
    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%
    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 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%
    Fidelity Funds Global Strategic Bond A-ACC-EUR (hdg) (EUR) EUR +0,45% +0,27% +1,18% +2,01% +2,01% +2,47% +7,19% +4,00% -6,76% +0,72%
    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 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%
    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%
    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%
    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 Emerging Markets Bond Extra 2018 - AT (EUR) EUR +0,12% +0,71% +1,83% +2,27% 0,00% +9,39% +9,45%
    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%
    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%
    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%
    Allianz Convertible Bond - A (EUR) EUR +0,40% +1,13% +2,88% +2,53% 0,00% +6,79% +0,99% +7,49% +25,33%
    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%
    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%
    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%
    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%
    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%
    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%
    Fidelity Funds Global Strategic Bond A-ACC-USD (USD) USD +0,52% +0,52% +1,66% +2,92% +3,01% +4,39% +11,06% +10,53% +1,22% +20,70%
    Fidelity Funds Global High Yield Focus Fund A-ACC-USD (USD) USD +0,41% +1,13% +3,99% +2,98% +3,48% +7,28% +18,95% +24,27% +14,84% +40,20%
    Fidelity Funds US High Yield Fund A-ACC-USD (USD) USD +0,69% +1,34% +4,24% +2,99% +3,89% +7,00% +16,33% +20,85% +23,45% +52,95%
    Allianz Convertible Bond - AT (EUR) EUR +0,40% +1,14% +3,36% +3,00% 0,00% +7,30% +2,07% +9,68% +30,02%
    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%
    AB Global High Yield Portfolio A2 PLN H PLN -0,39% +0,31% +0,91% +3,03% +1,70% +7,98% +20,98% +19,05% +18,46%
    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 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 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 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%
    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%
    Fidelity Funds European High Yield Fund E-ACC-EUR (EUR) EUR +0,19% +0,61% +3,01% +3,26% +3,55% +8,37% +19,58% +24,42% +17,72% +34,30%
    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%
    AB Emerging Markets Debt Portfolio A2 PLN H PLN -0,60% +0,30% +1,12% +3,40% +2,97% +10,20% +24,06% +19,08% +4,22%
    Fidelity Funds Global Income Fund A-ACC-EUR (hedged) (EUR) EUR +0,33% +0,91% +3,23% +3,40% +3,49% +6,11% +13,01% +13,12% +4,20% +14,61%
    Fidelity Funds European High Yield Fund A-ACC-EUR (EUR) EUR +0,20% +0,65% +3,11% +3,41% +3,71% +8,65% +20,20% +25,42% +19,22% +37,71%
    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%
    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%
    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 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%
    Fidelity Funds Global High Grade Income Fund A-ACC-USD (USD) USD +0,36% +0,86% +2,94% +3,62% +4,01% +7,19% +16,83% +22,13% +19,42% +28,15%
    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%
    Fidelity Funds Global Strategic Bond A-ACC-PLN (hdg) (PLN) PLN +0,56% +0,56% +1,98% +3,67% +3,82% +5,65% +13,21% +17,26% +9,34% +29,96%
    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%
    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%
    Fidelity Funds Emerging Market Debt A-ACC-EUR (hgd) (EUR) EUR +1,09% +1,09% +3,15% +3,86% +4,67% +5,95% +13,62% +17,48% -15,44% -6,42%
    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%
    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%
    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 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%
    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%
    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%
    AB Euro High Yield Portfolio A2 PLN H PLN -0,46% +0,37% +1,81% +4,51% +1,51% +9,13% +22,95% +21,86% +25,99%
    Fidelity Funds Global Income Fund A-ACC-USD (USD) USD +0,35% +1,13% +3,85% +4,54% +4,69% +8,26% +17,24% +20,51% +13,51% +39,86%
    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%
    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 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 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%
    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%
    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 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 China Bond Fund JPM A (acc) (CNH) CNH +0,21% +0,54% +1,34% +4,89% 0,00% +4,43% +7,39% +11,04%
    Fidelity Funds Emerging Market Debt A-ACC-USD (USD) USD +1,13% +1,38% +3,84% +4,90% +5,77% +7,93% +17,78% +25,24% -7,52% +14,49%
    Fidelity Funds European High Yield Fund A (Acc) (PLN) (hedged) PLN +0,28% +0,91% +3,98% +5,02% +5,52% +11,82% +26,82% +41,34% +39,45%
    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%
    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%
    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 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 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 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 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 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 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 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 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 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%
    Fidelity Funds Asian High Yield Fund - A-ACC-USD (USD) USD +1,12% +2,40% +4,21% +5,87% +6,16% +8,72% +20,80% +34,71% -17,71% +3,30%
    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 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 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 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 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 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%
    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%
    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 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 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%
    BlackRock BGF Renminbi Bond Fund - A2 (CHF) CHF -0,52% -1,13% -5,32% +7,55% 0,00% +3,35% +10,36%
    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 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%
    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%
    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%
    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 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 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 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 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 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%
    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%
    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 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 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 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 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 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%
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