Name
|
Auflagedatum
|
Volumen
|
YTD-P
|
1-Y-P
|
3-Y-P
|
5-Y-P
|
ERSTE Reserve Euro Plus
AT0000858105
EUR / Dist. / Retail
|
30.04.1979
45,6 Jahre
|
226,73 |
+3,25% |
+4,31% |
+5,01% |
+4,44% |
ERSTE RESERVE EURO
AT0000724299
EUR / Dist. / Retail
|
18.12.2000
24,0 Jahre
|
351,81 |
+3,41% |
+4,13% |
+5,81% |
+5,88% |
DWS Floating Rate Notes
LU0034353002
EUR / Acc. / Retail
|
15.07.1991
33,4 Jahre
|
9.015,55 |
+3,86% |
+4,78% |
+7,35% |
+6,92% |
DWS Euro Flexizins
DE0008474230
EUR / Acc. / Retail
|
14.09.1994
30,2 Jahre
|
1.316,66 |
+3,62% |
+4,61% |
+6,54% |
+6,43% |
CM-AM SICAV - CM-AM Short Term Bonds
FR0013373206
EUR / Acc. / Retail
|
19.02.2019
5,8 Jahre
|
433,69 |
+3,58% |
+4,43% |
+7,07% |
+7,49% |
CM-AM SICAV - CM-AM Institutional Short Term
FR0007033477
EUR / Acc. / Retail
|
31.05.1999
25,5 Jahre
|
296,09 |
+3,59% |
+4,38% |
+6,71% |
+6,70% |
BarReserve
AT0000952494
EUR / Dist. / Retail
|
01.02.1995
29,8 Jahre
|
17,95 |
+2,50% |
+4,64% |
-0,42% |
-1,98% |
Amundi Ultra Short Term Bond SRI
FR0011088657
EUR / Acc. / Retail
|
03.10.2011
13,2 Jahre
|
5.714,31 |
+3,62% |
+4,52% |
+7,12% |
+6,41% |
Allianz Global Investors Fund - Allianz Floating Rate Notes Plus
LU1100107371
EUR / Dist. / Retail
|
23.09.2014
10,2 Jahre
|
3.729,61 |
+3,29% |
+4,11% |
+6,60% |
+5,96% |