Nome
ISIN
  Type of yield
Valuta
Società d'investimento Prezzo di riacquisto
Data
Perf. 3M Perf. 1Y Perf. 3Y Perf. 5Y SR (1a)
Vola. (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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