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)
 
Brandes Emerging Markets Value Fund...
IE00B6RNXY80
reinvestment
EUR
Brandes Inv. P. (EU) 14.2500
07/01/2025
-4.30% +12.03% +14.83% +7.14% 0.73
12.79%
Brandes Emerging Markets Value Fund...
IE00B6TRNJ36
reinvestment
USD
Brandes Inv. P. (EU) 11.1500
07/01/2025
-9.72% +5.79% +4.60% -0.36% 0.22
13.82%
Brandes Emerging Markets Value Fund...
IE00B4P97428
reinvestment
EUR
Brandes Inv. P. (EU) 16.4900
07/01/2025
-4.07% +13.10% +18.12% +12.25% 0.81
12.77%
Brandes Emerging Markets Value Fund...
IE00B6SMR972
reinvestment
USD
Brandes Inv. P. (EU) 14.0600
07/01/2025
-9.58% +6.76% +7.66% +4.61% 0.29
13.83%
Brandes European Value Fund A Euro
IE0031574647
reinvestment
EUR
Brandes Inv. P. (EU) 43.4600
07/01/2025
-1.00% +15.86% +33.64% +61.68% 1.44
9.14%
Brandes European Value Fund A GBP
IE0031574753
reinvestment
GBP
Brandes Inv. P. (EU) 33.9300
07/01/2025
-2.22% +11.61% +32.02% +54.44% 0.98
9.06%
Brandes European Value Fund A USD
IE0031574530
reinvestment
USD
Brandes Inv. P. (EU) 43.3500
07/01/2025
-6.67% +9.39% +21.67% +48.82% 0.57
11.69%
Brandes European Value Fund Class I...
IE0031574977
reinvestment
EUR
Brandes Inv. P. (EU) 66.4500
07/01/2025
-0.79% +16.82% +37.07% +66.50% 1.54
9.15%
Brandes European Value Fund I GBP
IE0031575057
reinvestment
GBP
Brandes Inv. P. (EU) 49.2100
07/01/2025
-1.95% +12.71% +35.45% +60.29% 1.10
9.06%
Brandes European Value Fund I USD
IE0031574860
reinvestment
USD
Brandes Inv. P. (EU) 49.8100
07/01/2025
-6.46% +10.35% +24.99% +54.69% 0.65
11.7%
Brandes Global Value Fund A EUR
IE0031573904
reinvestment
EUR
Brandes Inv. P. (EU) 34.6800
07/01/2025
+3.34% +17.32% +33.64% +63.20% 1.43
10.2%
Brandes Global Value Fund A GBP
IE0031574084
reinvestment
GBP
Brandes Inv. P. (EU) 47.9700
07/01/2025
+2.09% +13.48% +33.92% +65.93% 1.12
9.62%
Brandes Global Value Fund A USD
IE0031573896
reinvestment
USD
Brandes Inv. P. (EU) 38.5600
07/01/2025
-2.48% +11.32% +23.71% +56.18% 0.81
10.64%
Brandes Global Value Fund A1 GBP
IE00B1SHJL36
paying dividend
GBP
Brandes Inv. P. (EU) 26.7000
07/01/2025
+1.48% +12.42% +31.25% +61.93% 1.01
9.61%
Brandes Global Value Fund I EUR
IE0031574209
reinvestment
EUR
Brandes Inv. P. (EU) 44.2100
07/01/2025
+3.56% +18.34% +37.21% +70.63% 1.53
10.21%
Brandes Global Value Fund I GBP
IE0031574423
reinvestment
GBP
Brandes Inv. P. (EU) 57.1700
07/01/2025
+2.33% +14.13% +36.12% +70.35% 1.19
9.62%
Brandes Global Value Fund I USD
IE0031574191
reinvestment
USD
Brandes Inv. P. (EU) 51.2900
07/01/2025
-2.40% +11.69% +24.88% +58.35% 0.84
10.64%
Brandes Global Value Fund I1 GBP
IE00B1SHJJ14
paying dividend
GBP
Brandes Inv. P. (EU) 21.6100
07/01/2025
+0.70% +12.38% +33.88% +63.91% 1.00
9.64%
Brandes U.S. Value Fund A EUR
IE0031575271
reinvestment
EUR
Brandes Inv. P. (EU) 42.0600
07/01/2025
+7.63% +21.07% +31.44% +79.51% 1.51
12.2%
Brandes U.S. Value Fund A GBP
IE0031575388
reinvestment
GBP
Brandes Inv. P. (EU) 41.6300
07/01/2025
+6.36% +16.74% +30.30% +73.10% 1.21
11.63%