Titel
ISIN
  Ertragstyp
Währung
Fondsgesellschaft Rückn. Preis
Datum
Perf. 3M Perf. 1J Perf. 3J Perf. 5J SR (1J)
Vola. (1J)
 
Amundi GF Euro Core Rent - A
AT0000856125
ausschüttend
EUR
Amundi Austria 4.6400
08.01.2025
-0.47% +0.80% -12.64% -14.66% -0.42
4.6%
Amundi GF Euro Core Rent - IA
AT0000A2AHJ2
ausschüttend
EUR
Amundi Austria 765.7400
08.01.2025
-0.47% +1.03% -12.21% -13.81% -0.38
4.59%
Amundi GF Euro Core Rent - T
AT0000A28L97
thesaurierend
EUR
Amundi Austria 105.4700
08.01.2025
-0.52% +0.85% -12.69% -14.59% -0.41
4.59%
Amundi GF Euro Core Rent - VI
AT0000A0PS63
vollthesaurierend
EUR
Amundi Austria 6.0900
08.01.2025
-0.49% +0.83% -12.63% -14.59% -0.40
4.77%
Amundi GF Euro Rent - A
AT0000857008
ausschüttend
EUR
Amundi Austria 58.8900
08.01.2025
-0.03% +2.74% -8.30% -8.97% 0.00
3.79%
Amundi GF Euro Rent - T
AT0000A1LJX8
thesaurierend
EUR
Amundi Austria 59.5500
08.01.2025
-0.03% +2.74% -8.30% -8.97% 0.00
3.8%
Amundi GF Euro Rent - VI
AT0000A28LB1
vollthesaurierend
EUR
Amundi Austria 13.9200
08.01.2025
-0.07% +2.65% -8.36% -9.02% -0.03
3.86%
Amundi Global High Yield Bond Low D...
AT0000A13YS0
ausschüttend
EUR
Amundi Austria 76.8200
08.01.2025
+1.75% +8.30% +6.70% +7.97% 3.25
1.7%
Amundi Global High Yield Bond Low D...
AT0000A13YU6
thesaurierend
EUR
Amundi Austria 113.6300
08.01.2025
+1.76% +8.31% +6.73% +8.01% 3.24
1.71%
Amundi Mündel Rent - A
AT0000856505
ausschüttend
EUR
Amundi Austria 68.1200
08.01.2025
+0.09% +2.43% -5.58% -6.80% -0.09
3.5%
Amundi Mündel Rent - T
AT0000719273
thesaurierend
EUR
Amundi Austria 109.3400
08.01.2025
+0.08% +2.43% -5.59% -6.81% -0.09
3.5%
Amundi Mündel Rent (ex Mündel Bond)...
AT0000857024
ausschüttend
EUR
Amundi Austria 6.3300
08.01.2025
+0.15% +2.38% -3.80% -5.70% -0.12
3.18%
Amundi Mündel Rent (ex Mündel Bond)...
AT0000A2AHK0
thesaurierend
EUR
Amundi Austria 886.7900
08.01.2025
+0.18% +2.58% -3.25% -4.74% -0.06
2.98%
Amundi Mündel Rent (ex Mündel Bond)...
AT0000813068
thesaurierend
EUR
Amundi Austria 12.4100
08.01.2025
+0.16% +2.39% -3.87% -5.70% -0.12
2.99%
Amundi Mündel Rent (ex Mündel Bond)...
AT0000674874
vollthesaurierend
EUR
Amundi Austria 13.8900
08.01.2025
+0.14% +2.36% -3.88% -5.70% -0.13
2.96%
Amundi Öko Sozial Dollar Bond - A
AT0000857081
ausschüttend
USD
Amundi Austria 76.8000
08.01.2025
-2.48% +1.52% -6.39% -4.01% -0.25
5.04%
Amundi Öko Sozial Dollar Bond - EUR...
AT0000A2V2N6
ausschüttend
EUR
Amundi Austria 102.2300
08.01.2025
+3.20% +7.47% +5.06% - 0.78
6.05%
Amundi Öko Sozial Dollar Bond - EUR...
AT0000A2V2M8
thesaurierend
EUR
Amundi Austria 104.9900
08.01.2025
+3.20% +7.47% +4.99% - 0.78
6.05%
Amundi Öko Sozial Dollar Bond - T
AT0000811286
thesaurierend
USD
Amundi Austria 145.3900
08.01.2025
-2.47% +1.54% -6.37% -4.00% -0.24
5.05%
Amundi Öko Sozial Dollar Bond - VA
AT0000704374
vollthesaurierend
USD
Amundi Austria 165.7600
08.01.2025
-2.47% +1.57% -6.34% -3.97% -0.23
5.05%