Barings Emerging Markets Debt Short Duration Fund - Tranche A USD Distribution
IE00BSL77R19
Barings Emerging Markets Debt Short Duration Fund - Tranche A USD Distribution/ IE00BSL77R19 /
NAV 23.01.2025
Diff.-0,0800
Ertragstyp
Ausrichtung
Fondsgesellschaft
80,9100 USD
-0,10%
ausschüttend
Anleihen
Emerging Markets
Baring Int.Fd.M.(IE) ▶
Kennzahlen und Performance in:
Alle Kurse in USD
Tranchen
Titel
Ertragstyp
Rückn. Preis
1 Jahr
3 Jahre
Barings Emerging Markets Debt Sh...
ausschüttend
102,9600
+8,15%
-
Barings Emerging Markets Debt Sh...
ausschüttend
76,7400
+8,19%
-6,04%
Barings Emerging Markets Debt Sh...
ausschüttend
79,4700
+8,52%
-5,10%
Barings Emerging Markets Debt Sh...
ausschüttend
80,9100
+8,38%
-4,14%
Barings Emerging Markets Debt Sh...
thesaurierend
103,9700
+7,62%
-4,64%
Barings Emerging Markets Debt Sh...
thesaurierend
95,3900
+6,52%
-9,09%
Barings Emerging Markets Debt Sh...
thesaurierend
103,3800
+8,30%
-2,89%
Barings Emerging Markets Debt Sh...
thesaurierend
126,1700
+7,95%
-3,78%
Barings Emerging Markets Debt Sh...
thesaurierend
96,4700
+8,00%
-8,93%
Barings Emerging Markets Debt Sh...
thesaurierend
104,6100
+8,06%
-3,49%
Barings Emerging Markets Debt Sh...
thesaurierend
96,6500
+3,81%
-10,41%
Barings Emerging Markets Debt Sh...
thesaurierend
117,7000
+8,55%
-2,18%
Barings Emerging Markets Debt Sh...
ausschüttend
78,9300
+7,62%
-5,97%
Barings Emerging Markets Debt Sh...
ausschüttend
78,9200
+6,96%
-7,51%
Barings Emerging Markets Debt Sh...
thesaurierend
100,6900
+6,98%
-6,34%
Barings Emerging Markets Debt Sh...
thesaurierend
133,2200
+8,38%
-2,62%
Barings Emerging Markets Debt Sh...
ausschüttend
79,4500
+8,07%
-4,92%
Barings Emerging Markets Debt Sh...
ausschüttend
79,3000
+8,22%
-4,54%
Barings Emerging Markets Debt Sh...
ausschüttend
76,9200
+8,40%
-8,82%
Barings Emerging Markets Debt Sh...
thesaurierend
106,8100
+8,22%
-3,05%
Performance
lfd. Jahr
+0,64%
6 Monate
+2,91%
1 Jahr
+8,38%
3 Jahre
-4,14%
5 Jahre
-9,27%
seit Beginn
-8,10%
Jahr
2023
+5,39%
2022
-19,68%
2021
-6,58%
2020
+4,86%
2019
+4,42%
2018
-3,24%
Ausschüttungen
02.01.2025
1,28 USD
01.10.2024
1,48 USD
01.07.2024
1,29 USD
02.04.2024
1,22 USD
02.01.2024
1,16 USD
02.10.2023
1,16 USD
03.07.2023
1,12 USD
03.04.2023
0,90 USD
03.01.2023
0,96 USD
03.10.2022
1,04 USD
01.07.2022
0,93 USD