Nombre
ISIN
  Tipo de beneficio
Divisa
Sociedad de fondos Prec. de rescate
Fecha
Rendimiento 3 meses Rendimiento 1 año Rendimiento 3 años Rendimiento 5 años SR (1A)
Volatilidad (1A)
 
F.EM Corp.Debt Fd.A USD
LU2459204405
reinvestment
USD
Franklin Templeton 11.6900
23/01/2025
+0.78% +8.04% - - 2.20
2.44%
F.EM Corp.Debt Fd.I EUR H
LU2115462397
reinvestment
EUR
Franklin Templeton 14.6400
23/01/2025
+0.48% +7.02% +3.46% - 1.86
2.34%
F.EM Corp.Debt Fd.I EUR H1
LU2115462710
paying dividend
EUR
Franklin Templeton 8.8900
23/01/2025
+0.57% +7.04% - - 1.84
2.37%
F.EM Corp.Debt Fd.I GBP H1
LU2115462801
reinvestment
GBP
Franklin Templeton 12.1300
23/01/2025
+1.00% +8.59% - - 2.52
2.35%
F.EM Corp.Debt Fd.I USD
LU2115462470
reinvestment
USD
Franklin Templeton 17.7300
23/01/2025
+0.97% +8.84% - - 2.55
2.42%
F.EM Corp.Debt Fd.W USD
LU2159801971
reinvestment
USD
Franklin Templeton 12.4900
23/01/2025
+0.89% +8.70% - - 2.55
2.37%
F.EM Corp.Debt Fd.Y EUR
LU2115462553
paying dividend
EUR
Franklin Templeton 9.9500
23/01/2025
+4.66% +13.94% - - 1.97
5.72%
F.EM Corp.Debt Fd.Y USD
LU2115462637
reinvestment
USD
Franklin Templeton 12.7900
23/01/2025
+1.11% +9.50% - - 2.90
2.36%
F.EM Debt Op.Hard C.Fd.I USD
LU1926204576
paying dividend
USD
Franklin Templeton 8.5800
23/01/2025
+1.42% +9.63% +3.00% +3.98% 1.96
3.55%
F.EM Debt Op.Hard C.Fd.I USD
LU1926204220
reinvestment
USD
Franklin Templeton 11.5900
23/01/2025
+1.49% +9.65% +3.02% +3.11% 2.00
3.49%
F.EM Debt Op.Hard C.Fd.I-H1 EUR H
LU1926204493
paying dividend
EUR
Franklin Templeton 7.3700
23/01/2025
+0.96% +7.71% -4.77% -7.37% 1.41
3.57%
F.EM Debt Op.Hard C.Fd.W GBP H1
LU2404266681
reinvestment
GBP
Franklin Templeton 9.6500
23/01/2025
+1.37% +9.29% -0.31% - 1.82
3.63%
F.EM Debt Op.Hard C.Fd.W USD
LU1926204659
reinvestment
USD
Franklin Templeton 10.8200
23/01/2025
+1.41% +9.51% +3.05% +3.91% 1.93
3.54%
F.EM Debt Op.Hard C.Fd.W-H1 EUR H
LU1926204733
paying dividend
EUR
Franklin Templeton 7.3500
23/01/2025
+0.96% +7.89% -4.81% -7.63% 1.46
3.57%
F.EM Debt Op.Hard C.Fd.Y USD
LU1992940673
reinvestment
USD
Franklin Templeton 11.6900
23/01/2025
+1.56% +10.39% +5.32% +6.95% 2.13
3.62%
F.EM Debt Op.II Fd.I EUR
LU0855227368
paying dividend
EUR
Franklin Templeton 6.1500
23/01/2025
+1.43% +7.89% +3.63% +1.52% 1.72
3.03%
F.Euro Government Bond Fd.Y EUR
LU2125249727
paying dividend
EUR
Franklin Templeton 8.5800
23/01/2025
-0.34% +2.74% - - 0.01
4.51%
F.Euro High Yield Fd.A-H1 USD H
LU1162221839
paying dividend
USD
Franklin Templeton 9.7400
23/01/2025
+1.69% +8.72% +14.43% +17.81% 3.80
1.59%
F.Euro High Yield Fd.W EUR
LU0976567031
reinvestment
EUR
Franklin Templeton 14.3900
23/01/2025
+1.34% +7.55% +9.35% +12.42% 3.34
1.46%
F.Euro Sh.Dur.B.Fd.A EUR
LU1022658667
reinvestment
EUR
Franklin Templeton 10.6200
23/01/2025
+0.38% +3.51% +3.91% +4.22% 0.58
1.44%
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