Amundi Funds Euro Government Responsible Bond - M2 EUR QTD
LU1882474742
Amundi Funds Euro Government Responsible Bond - M2 EUR QTD/ LU1882474742 /
NAV 22.01.2025
Diff.-0,9000
Ertragstyp
Ausrichtung
Fondsgesellschaft
862,3200 EUR
-0,10%
ausschüttend
Anleihen
Euroland
Amundi Luxembourg ▶
Kennzahlen und Performance in:
Alle Kurse in EUR
Tranchen
Titel
Ertragstyp
Rückn. Preis
1 Jahr
3 Jahre
Amundi Funds Euro Government Res...
ausschüttend
862,3200
+3,12%
-9,41%
Amundi Funds Euro Government Res...
thesaurierend
921,0700
+3,12%
-9,41%
Amundi Funds Euro Government Res...
thesaurierend
132,9800
+3,01%
-9,65%
Amundi Funds Euro Government Res...
thesaurierend
907,8500
+3,59%
-8,20%
Amundi Funds Euro Government Res...
thesaurierend
117,4600
+2,13%
-12,02%
Amundi Funds Euro Government Res...
ausschüttend
36,4400
-2,89%
-20,52%
Amundi Funds Euro Government Res...
thesaurierend
42,0100
+1,47%
-13,72%
Amundi Funds Euro Government Res...
thesaurierend
4,5200
+2,80%
-10,30%
Amundi Funds Euro Government Res...
thesaurierend
38,6100
-2,87%
-20,51%
Amundi Funds Euro Government Res...
ausschüttend
39,4700
+1,64%
-13,28%
Amundi Funds Euro Government Res...
thesaurierend
45,6800
+3,00%
-9,78%
Amundi Funds Euro Government Res...
ausschüttend
4,2480
+2,77%
-10,32%
Amundi Funds Euro Government Res...
thesaurierend
4,3930
+2,28%
-11,65%
Amundi Funds Euro Government Res...
thesaurierend
1.335,9800
+3,03%
-9,65%
Amundi Funds Euro Government Res...
thesaurierend
921,0900
+3,12%
-9,42%
Amundi Funds Euro Government Res...
thesaurierend
908,5600
+3,07%
-9,24%
Amundi Funds Euro Government Res...
thesaurierend
121,9200
+2,63%
-10,72%
Amundi Funds Euro Government Res...
ausschüttend
101,0000
+2,64%
-10,70%
Amundi Funds Euro Government Res...
ausschüttend
41,7900
+2,57%
-10,84%
Amundi Funds Euro Government Res...
thesaurierend
41,0700
-1,79%
-17,84%
Amundi Funds Euro Government Res...
ausschüttend
38,6500
-1,59%
-17,78%
Amundi Funds Euro Government Res...
ausschüttend
44,0400
+2,58%
-10,84%
Amundi Funds Euro Government Res...
thesaurierend
44,6900
+2,59%
-10,83%
Performance
lfd. Jahr
-0,77%
6 Monate
+2,01%
1 Jahr
+3,12%
3 Jahre
-9,41%
5 Jahre
-10,28%
seit Beginn
-7,89%
Jahr
2023
+6,93%
2022
-17,32%
2021
-4,27%
2020
+4,63%
Ausschüttungen
02.01.2025
6,57 EUR
01.10.2024
6,57 EUR
01.07.2024
6,57 EUR
02.04.2024
6,57 EUR
02.01.2024
4,16 EUR
02.10.2023
4,16 EUR
03.07.2023
4,16 EUR
03.04.2023
4,16 EUR
02.01.2023
0,50 EUR
03.10.2022
0,50 EUR
01.07.2022
0,50 EUR
01.04.2022
0,50 EUR
03.01.2022
0,53 EUR
01.10.2021
0,53 EUR
01.07.2021
0,53 EUR
01.04.2021
0,53 EUR
04.01.2021
0,51 EUR
01.10.2020
0,51 EUR
01.07.2020
0,51 EUR
01.04.2020
0,51 EUR
02.01.2020
3,25 EUR
01.10.2019
3,25 EUR
01.07.2019
3,29 EUR