Rentenfonds - Seite 5 von 24
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Rentenfonds - Sortiert nach Regionen
Suchergebnisse: Rentenfonds - Seite 5 von 24
Fonds 401 bis 500 von 2331
1 2 3 4 5 6 7 8 9 10 .
19 20 21 22 23 24 Fondsname (WKN / ISIN)
Fondstyp
1 Monat
6 Monate
1 Jahr
3 Jahre
5 Jahre
10 Jahre
Rentenfonds Europa Unternehmensanleihen höherverzinst
0.00%
6.00%
13.00%
3.00%
10.00%
30.00%
Rentenfonds Europa Unternehmensanleihen höherverzinst
0.00%
4.00%
11.00%
2.00%
8.00%
30.00%
0.79%
2.89%
9.76%
4.58%
13.32%
29.85%
Rentenfonds International Unternehmensanleihen höherverzinst
1.27%
0.88%
7.38%
0.85%
7.84%
29.77%
1.52%
4.67%
10.81%
0.94%
7.90%
29.75%
0.62%
4.40%
5.72%
-2.62%
-1.50%
29.70%
0.57%
3.85%
3.77%
-1.80%
-2.85%
29.56%
Rentenfonds USA Staatsanleihen gemischte Laufzeiten
0.57%
3.85%
3.77%
-1.80%
-2.85%
29.56%
0.78%
1.47%
7.23%
0.10%
8.20%
29.50%
Rentenfonds Emerging Markets gemischt höherverzinst
1.33%
5.04%
10.56%
-14.11%
-10.16%
29.24%
1.33%
5.05%
10.55%
-14.14%
-10.18%
29.08%
0.00%
5.00%
14.00%
1.00%
16.00%
29.00%
Rentenfonds USA Unternehmensanleihen höherverzinst
0.00%
5.00%
13.00%
1.00%
14.00%
29.00%
0.00%
5.00%
12.00%
4.00%
12.00%
29.00%
Rentenfonds Europa Unternehmensanleihen höherverzinst
0.00%
5.00%
13.00%
4.00%
9.00%
29.00%
2.30%
5.38%
9.50%
0.73%
5.63%
29.00%
Rentenfonds International Unternehmensanleihen Investment Grade
0.00%
3.00%
7.00%
-1.00%
0.00%
29.00%
BGF US Dollar Bond Fund A1 USD (973630 / LU0028835386)Rentenfonds International Unternehmensanleihen Investment Grade
0.00%
3.00%
7.00%
-2.00%
0.00%
29.00%
ODDO BHF Euro High Yield Bond CR (940820 / LU0115290974)Rentenfonds International Unternehmensanleihen höherverzinst
0.56%
2.89%
9.31%
4.96%
11.34%
28.99%
Robeco Financial Institutions Bonds EUR D (A1JUN8 / LU0622663176)Rentenfonds Europa (Euro-Zone) Unternehmensanleihen Investment Grade
1.09%
4.30%
12.66%
-0.03%
5.29%
28.87%
1.87%
5.53%
8.63%
13.27%
12.90%
28.77%
1.87%
5.53%
8.63%
13.27%
12.90%
28.77%
Rentenfonds Emerging Markets gemischt höherverzinst
1.23%
5.19%
10.20%
-13.84%
-10.28%
28.77%
Rentenfonds International Unternehmensanleihen höherverzinst
1.18%
4.77%
16.37%
-4.37%
4.25%
28.76%
Rentenfonds Emerging Markets gemischt höherverzinst
1.22%
5.17%
10.16%
-13.84%
-10.31%
28.75%
ERSTE BOND Emerging CORPORATE EUR R01 A (A0MTAH / AT0000A05HQ5)Rentenfonds Emerging Markets Unternehmensanleihen höherverzinst
0.21%
5.49%
10.77%
-1.39%
8.66%
28.67%
Rentenfonds Emerging Markets Unternehmensanleihen höherverzinst
0.21%
5.49%
10.77%
-1.40%
8.65%
28.67%
Rentenfonds Emerging Markets Unternehmensanleihen höherverzinst
0.21%
5.49%
10.78%
-1.41%
8.65%
28.67%
0.05%
2.07%
6.13%
-3.31%
6.01%
28.59%
1.68%
6.58%
20.03%
7.41%
18.20%
28.41%
0.00%
4.00%
7.00%
-1.00%
0.00%
28.00%
2.42%
5.45%
7.90%
-1.46%
5.14%
27.98%
2.42%
5.45%
7.90%
-1.47%
5.14%
27.98%
1.30%
4.25%
11.62%
2.38%
12.68%
27.97%
Rentenfonds Europa Unternehmensanleihen höherverzinst
1.10%
3.71%
10.29%
0.68%
7.42%
27.82%
1.86%
6.56%
9.18%
8.24%
5.51%
27.80%
0.56%
3.26%
7.46%
-6.43%
-2.73%
27.78%
Rentenfonds International Sonstige
0.85%
4.27%
12.57%
1.01%
8.63%
27.77%
0.85%
4.26%
12.56%
0.97%
8.51%
27.67%
Rentenfonds Asien/Pazifik gemischte Laufzeiten
0.15%
2.60%
4.30%
6.63%
3.80%
27.54%
1.02%
3.61%
10.95%
2.27%
8.21%
27.40%
0.49%
3.94%
12.43%
1.99%
8.74%
27.38%
0.15%
2.60%
4.30%
6.63%
3.68%
27.38%
Rentenfonds International Unternehmensanleihen höherverzinst
0.49%
3.93%
12.43%
1.98%
8.71%
27.34%
0.76%
3.07%
6.43%
0.14%
4.07%
27.13%
Rentenfonds International höherverzinst
0.00%
5.00%
12.00%
4.00%
10.00%
27.00%
Rentenfonds International gemischte Laufzeiten
0.00%
4.00%
7.00%
-1.00%
0.00%
27.00%
Rentenfonds International gemischte Laufzeiten
0.76%
3.08%
6.45%
-0.04%
3.91%
26.81%
0.80%
1.40%
9.37%
-1.57%
6.40%
26.79%
0.50%
3.53%
5.54%
-1.25%
-3.63%
26.74%
Rentenfonds USA gemischte Laufzeiten
0.50%
3.54%
5.54%
-1.28%
-3.65%
26.71%
Rentenfonds USA gemischte Laufzeiten
0.48%
3.52%
5.50%
-1.28%
-3.71%
26.66%
-0.57%
2.54%
7.37%
-0.43%
1.01%
26.52%
Rentenfonds International gemischte Laufzeiten
0.75%
5.26%
10.97%
8.36%
8.66%
26.50%
1.53%
4.06%
11.00%
2.04%
13.78%
26.45%
Rentenfonds International gemischt Investment Grade
0.02%
1.19%
5.03%
2.20%
4.80%
26.37%
Rentenfonds International gemischt Investment Grade
1.65%
5.44%
8.45%
12.85%
12.15%
26.32%
Rentenfonds International gemischt Investment Grade
1.65%
5.43%
8.44%
12.85%
12.15%
26.31%
1.20%
2.18%
3.07%
-7.85%
4.61%
26.01%
Rentenfonds International inflationsgeschützt
0.00%
5.00%
4.00%
1.00%
13.00%
26.00%
Rentenfonds International kurze Laufzeiten
2.00%
1.00%
2.00%
12.00%
7.00%
26.00%
Rentenfonds Europa Unternehmensanleihen höherverzinst
0.00%
4.00%
10.00%
3.00%
6.00%
26.00%
Rentenfonds Europa Unternehmensanleihen höherverzinst
1.10%
4.33%
12.08%
0.94%
5.66%
26.00%
0.00%
4.00%
8.00%
0.00%
0.00%
26.00%
1.10%
4.33%
12.08%
0.92%
5.64%
25.99%
0.76%
4.30%
11.13%
7.82%
8.09%
25.71%
Rentenfonds International Unternehmensanleihen höherverzinst
1.90%
6.89%
16.59%
4.11%
8.20%
25.57%
Rentenfonds International gemischte Laufzeiten
0.71%
4.47%
10.63%
8.11%
8.29%
25.45%
1.20%
4.68%
10.95%
-0.01%
12.07%
25.41%
Rentenfonds International gemischt höherverzinst
0.89%
3.73%
10.18%
3.70%
8.90%
25.10%
0.77%
3.64%
10.05%
3.63%
8.74%
25.05%
Rentenfonds International Unternehmensanleihen höherverzinst
1.44%
2.68%
7.64%
10.46%
16.06%
25.02%
Rentenfonds International gemischt höherverzinst
0.80%
3.52%
9.92%
3.52%
8.70%
25.01%
Rentenfonds International Multi-Asset-Strategie systematisch dynamisch
0.00%
-7.00%
-7.00%
10.00%
16.00%
25.00%
0.00%
4.00%
7.00%
-3.00%
-2.00%
25.00%
Rentenfonds USA gemischte Laufzeiten
0.00%
4.00%
7.00%
-3.00%
-2.00%
25.00%
Rentenfonds Emerging Markets gemischte Laufzeiten
1.00%
5.00%
15.00%
-2.00%
-3.00%
25.00%
Rentenfonds International Unternehmensanleihen höherverzinst
1.15%
1.89%
8.26%
7.51%
5.89%
24.82%
Rentenfonds International Unternehmensanleihen Investment Grade
1.77%
4.22%
5.32%
15.32%
15.07%
24.74%
CS Lux Corporate Short Duration Sfr A (800547 / LU0155951675)Rentenfonds International Unternehmensanleihen Investment Grade
1.77%
4.22%
5.33%
15.33%
15.08%
24.73%
0.54%
1.39%
3.34%
-4.85%
7.64%
24.72%
0.53%
1.38%
3.33%
-4.86%
7.64%
24.71%
1.87%
5.25%
7.42%
13.50%
11.39%
24.50%
Rentenfonds International gemischt Investment Grade
1.18%
3.57%
11.83%
-4.37%
1.23%
24.50%
1.18%
3.57%
11.83%
-4.37%
1.23%
24.49%
-0.49%
0.77%
1.38%
9.57%
3.99%
24.45%
0.86%
5.02%
10.86%
1.86%
5.76%
24.34%
1.90%
5.20%
7.14%
11.50%
9.33%
24.20%
Rentenfonds Schweiz gemischte Laufzeiten
1.90%
5.20%
7.15%
11.50%
9.32%
24.20%
2.10%
6.14%
12.04%
1.21%
9.01%
24.19%
2.19%
6.27%
11.89%
0.81%
8.91%
24.12%
0.84%
5.03%
13.66%
0.95%
0.56%
24.10%
Rentenfonds International Unternehmensanleihen Investment Grade
2.03%
4.50%
7.78%
4.61%
5.89%
24.05%
Rentenfonds International gemischte Laufzeiten
0.49%
3.12%
5.23%
-5.11%
-2.77%
24.03%
Rentenfonds International gemischt höherverzinst
1.45%
3.84%
11.09%
5.88%
8.88%
24.02%
Rentenfonds International Unternehmensanleihen höherverzinst
1.05%
3.26%
10.70%
2.64%
6.30%
24.02%
2.00%
2.00%
2.00%
8.00%
4.00%
24.00%
0.00%
4.00%
8.00%
-1.00%
-1.00%
24.00%
Pictet EUR High Yield P (797785 / LU0133807163)Rentenfonds International Unternehmensanleihen höherverzinst
1.06%
3.26%
10.70%
2.64%
6.26%
23.94%
Rentenfonds International Unternehmensanleihen höherverzinst
1.11%
3.71%
9.20%
0.30%
8.23%
23.93%
1 2 3 4 5 6 7 8 9 10 .
19 20 21 22 23 24