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)
 
BIL Invest Absolute Return I EUR Ca...
LU1689729546
reinvestment
EUR
BIL Manage Invest 1,573.6200
20/01/2025
+0.44% +5.38% +3.14% - 1.94
1.41%
BIL Invest Absolute Return P EUR Ca...
LU1689729629
reinvestment
EUR
BIL Manage Invest 153.5300
20/01/2025
+0.35% +5.00% +2.03% - 1.66
1.42%
BIL Invest Bonds Emerging Markets I...
LU1808854803
reinvestment
EUR
BIL Manage Invest 1,424.2500
17/01/2025
-0.89% +7.52% -5.57% - 1.08
4.46%
BIL Invest Bonds Emerging Markets P...
LU1689730395
reinvestment
USD
BIL Manage Invest 150.5600
17/01/2025
-0.61% +8.80% -0.70% - 1.37
4.46%
BIL Invest Bonds EUR Corporate Inve...
LU1689730718
reinvestment
EUR
BIL Manage Invest 1,497.8300
21/01/2025
+0.61% +5.66% -3.46% - 1.11
2.71%
BIL Invest Bonds EUR Corporate Inve...
LU1689730809
reinvestment
EUR
BIL Manage Invest 145.5400
21/01/2025
+0.49% +5.15% -4.86% - 0.92
2.71%
BIL Invest Bonds EUR High Yield I E...
LU1689731286
reinvestment
EUR
BIL Manage Invest 1,720.6700
20/01/2025
+1.07% +7.00% +5.93% - 2.78
1.57%
BIL Invest Bonds EUR High Yield P C...
LU1689731369
reinvestment
EUR
BIL Manage Invest 167.9500
20/01/2025
+0.95% +6.50% +4.47% - 2.47
1.57%
BIL Invest Bonds EUR Sovereign I EU...
LU1689731872
reinvestment
EUR
BIL Manage Invest 1,406.0601
20/01/2025
-0.53% +2.09% -11.62% - -0.13
4.29%
BIL Invest Bonds EUR Sovereign P Ca...
LU1689731955
reinvestment
EUR
BIL Manage Invest 139.5300
20/01/2025
-0.61% +1.82% -12.34% - -0.20
4.3%
BIL Invest Bonds Renta Fund P EUR C...
LU1565452015
reinvestment
EUR
BIL Manage Invest 155.0600
20/01/2025
+0.70% +3.62% +6.23% - 5.95
0.16%
BIL Invest Bonds USD Corporate Inve...
LU1808854985
reinvestment
EUR
BIL Manage Invest 1,465.7800
21/01/2025
-1.39% +0.80% -12.84% - -0.36
5.24%
BIL Invest Bonds USD Corporate Inve...
LU1689732417
reinvestment
USD
BIL Manage Invest 160.5700
21/01/2025
-1.05% +2.21% -8.30% - -0.09
5.23%
BIL Invest Bonds USD High Yield I E...
LU1808855016
reinvestment
EUR
BIL Manage Invest 1,628.8199
17/01/2025
+0.41% +6.56% -0.47% - 1.38
2.81%
BIL Invest Bonds USD High Yield P E...
LU1917565845
reinvestment
EUR
BIL Manage Invest 154.0100
17/01/2025
+0.30% +6.04% - - 1.19
2.81%
BIL Invest Bonds USD High Yield P U...
LU1689732920
reinvestment
USD
BIL Manage Invest 180.8500
17/01/2025
+0.75% +7.96% +4.59% - 1.87
2.8%
BIL Invest Bonds USD Sovereign I EU...
LU1808855107
reinvestment
EUR
BIL Manage Invest 1,334.6500
17/01/2025
-2.11% -0.48% -13.27% - -0.67
4.79%
BIL Invest Bonds USD Sovereign I US...
LU1689733498
reinvestment
USD
BIL Manage Invest 1,514.5200
17/01/2025
-1.58% +1.42% -7.70% - -0.27
4.77%
BIL Invest Bonds USD Sovereign P US...
LU1689733571
reinvestment
USD
BIL Manage Invest 149.8500
17/01/2025
-1.65% +1.13% -8.49% - -0.33
4.77%
BIL Invest Connect Defensive I2 EUR...
LU2623125262
reinvestment
EUR
BIL Manage Invest 1,545.9500
20/01/2025
+0.07% - - - -
-