NAV2025. 01. 22. Vált.+2,8496 Hozam típusa Investment Focus Alapkezelő
9 017,2998EUR +0,03% Osztalékfizetés Kötvények Dynasty AM 
     
Chart for Dynasty SICAV - Dynasty Credit Sub - D EUR
  Név   ISIN Teljesítmény Volatilitás Sharpe ráta
1. Nordea 1 Europ.Financial Debt F.AI EUR LU0772942529 +11,28% 1,46% 5,88
2. SCOR Sustainable Euro Loans D FR0011270552 +6,92% 0,77% 5,51
3. Nordea 1 - European Financial Debt Fund - AP - EUR LU0772943097 +10,59% 1,46% 5,42
4. FU Fonds - Bonds Monthly Income I LU1960395033 +9,82% 1,40% 5,08
5. FU Fonds - Bonds Monthly Income P LU1960394903 +9,15% 1,40% 4,61
6. Amundi Fd.Sol.B.&W.Inc.07/2025 A USD H LU1956945759 +5,56% 0,63% 4,54
7. AMUNDI FUND SOLUTIONS BUY & WATCH INCOME 07/2025 - A CZK Hgd AD LU1983288710 +5,25% 0,62% 4,17
8. Deka-RentSpezial HighYield 9/2025 DE000DK0LNT2 +4,77% 0,51% 4,09
9. Nordea 1 - European High Yield Bond Fund - HAI - USD LU0873628688 +9,79% 1,85% 3,85
10. Evli Nordic Corporate Bond Fund IA FI0008812003 +7,01% 1,14% 3,79
...
13. Dynasty SICAV - Dynasty Credit Sub - D EUR LU2360085331 +6,72% 1,09% 3,71