Barings Emerging Markets Debt Short Duration Fund - Tranche I EUR Distribution
IE00BF451686
Barings Emerging Markets Debt Short Duration Fund - Tranche I EUR Distribution/ IE00BF451686 /
NAV 23.01.2025
Diff.-0,1100
Ertragstyp
Ausrichtung
Fondsgesellschaft
102,9600 EUR
-0,11%
ausschüttend
Anleihen
Emerging Markets
Baring Int.Fd.M.(IE) ▶
Kennzahlen und Performance in:
Alle Kurse in EUR
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
+0,94%
6 Monate
+2,82%
1 Jahr
+8,15%
3 Jahre
-
5 Jahre
-
seit Beginn
+13,90%
Jahr
2023
+3,08%
Ausschüttungen
02.01.2025
1,63 EUR
01.10.2024
1,81 EUR
01.07.2024
1,61 EUR
02.04.2024
1,52 EUR
02.01.2024
0,98 EUR
02.10.2023
1,03 EUR
03.07.2023
0,85 EUR
03.04.2023
0,48 EUR
03.01.2023
0,41 EUR