Invesco US Senior Loan Fund HHX
LU0981926206
Invesco US Senior Loan Fund HHX/ LU0981926206 /
NAV 09.01.2025
Diff.0,0000
Ertragstyp
Ausrichtung
Fondsgesellschaft
102,6400 SGD
0,00%
ausschüttend
Anleihen
Nordamerika
Invesco Management ▶
Kennzahlen und Performance in:
Alle Kurse in SGD
Tranchen
Titel
Ertragstyp
Rückn. Preis
1 Jahr
3 Jahre
Invesco US Senior Loan Fund HH
thesaurierend
138,4200
+3,11%
+4,71%
Invesco US Senior Loan Fund GHX
ausschüttend
85,3300
+6,05%
+12,80%
Invesco US Senior Loan Fund HHX
ausschüttend
88,8800
+5,88%
+12,02%
Invesco US Senior Loan Fund HHX
ausschüttend
80,2300
-3,65%
+0,41%
Invesco US Senior Loan Fund GHX
ausschüttend
7.283,7900
+1,62%
+2,17%
Invesco US Senior Loan Fund HHX
ausschüttend
102,6400
+4,91%
+11,69%
Invesco US Senior Loan Fund GHX
ausschüttend
72,8100
-3,59%
+1,09%
Invesco US Senior Loan Fund HHX
ausschüttend
77,4900
+5,16%
+9,33%
Invesco US Senior Loan Fund HHX
ausschüttend
83,6000
+6,60%
+14,01%
Invesco US Senior Loan Fund GHX
ausschüttend
84,8100
+6,82%
+14,88%
Invesco US Senior Loan Fund A Ac...
thesaurierend
240,9300
+7,91%
+17,86%
Invesco US Senior Loan Fund AH
thesaurierend
221,8800
+7,69%
+16,14%
Invesco US Senior Loan Fund HH
thesaurierend
169,2600
+7,28%
+14,79%
Invesco US Senior Loan Fund GX
ausschüttend
89,1000
+7,04%
+16,51%
Invesco US Senior Loan Fund GH
thesaurierend
152,4400
+7,53%
+15,65%
Invesco US Senior Loan Fund HX
ausschüttend
889,4700
+6,29%
+15,34%
Invesco US Senior Loan Fund NX M...
ausschüttend
85,6400
+7,57%
+18,40%
Invesco US Senior Loan Fund G
thesaurierend
186,9900
+7,75%
+17,29%
Invesco US Senior Loan Fund GHX
ausschüttend
74,7300
+5,41%
+10,13%
Invesco US Senior Loan Fund HX
ausschüttend
80,0600
+6,80%
+15,66%
Invesco US Senior Loan Fund H (I...
thesaurierend
344,2700
+5,87%
-
Invesco US Senior Loan Fund HHX ...
ausschüttend
9.594,7500
-
-
Performance
lfd. Jahr
-0,52%
6 Monate
+1,83%
1 Jahr
+4,91%
3 Jahre
+11,69%
5 Jahre
-
seit Beginn
+15,02%
Jahr
2023
+10,20%
2022
-3,15%
2021
+2,72%
Ausschüttungen
02.12.2024
0,66 SGD
04.11.2024
0,80 SGD
01.10.2024
0,78 SGD
03.09.2024
0,76 SGD
01.08.2024
0,71 SGD
01.07.2024
0,77 SGD
03.06.2024
0,82 SGD
02.05.2024
0,54 SGD
02.04.2024
0,83 SGD
01.03.2024
0,85 SGD
01.02.2024
0,96 SGD
02.01.2024
0,71 SGD
01.12.2023
0,68 SGD
02.11.2023
0,79 SGD
02.10.2023
0,74 SGD
01.09.2023
0,83 SGD
01.08.2023
0,92 SGD
03.07.2023
1,26 SGD
01.06.2023
0,86 SGD
03.05.2023
0,82 SGD
03.04.2023
0,75 SGD
01.03.2023
0,78 SGD
01.02.2023
0,79 SGD
03.01.2023
0,78 SGD
01.12.2022
0,68 SGD
02.11.2022
0,80 SGD
03.10.2022
0,63 SGD
01.09.2022
0,58 SGD
01.08.2022
0,52 SGD
01.07.2022
0,54 SGD
01.06.2022
0,42 SGD
03.05.2022
0,39 SGD
01.04.2022
0,38 SGD
01.03.2022
0,30 SGD
01.02.2022
0,35 SGD
04.01.2022
0,33 SGD