Funds
Funds
Funds | Today's Returns | Year to Date (YTD) | NAV | Updated | Redemption | Subscription | |
---|---|---|---|---|---|---|---|
Local Currency Bonds I EUR Acc | 0.27 % | 0.42 % | 1952.96 | 21/1 16:38 | 1947.00 | 1959.00 | |
Emerging Market Blended Debt I USD Acc | -0 | -0 | - | - |
Funds | YTD by 1/1-25 | Latest month | 2024 | 2023 | 3 Years | 5 Years | 7 Years | 10 Years |
---|---|---|---|---|---|---|---|---|
Local Currency Bonds I EUR Acc | 0.00 % | -0.69 % | 2.60 % | 11.04 % | 6.67 % | -0.08 % | 11.88 % | 19.73 % |
Emerging Market Blended Debt I USD Acc | % | % | % | % | % | % | % | % |
Funds | ISIN | Risk Class | Start date | Total assets mio | Largest position | Cash |
---|---|---|---|---|---|---|
Local Currency Bonds I EUR Acc | DK0060646636 | 4 | 21-09-2015 | 1 EUR | Brazil Notas do Teso... | 1.31 % |
Emerging Market Blended Debt I USD Acc | 4 | % |
Funds | Expected annual costs | Transaction costs | Entry | Withdrawal |
---|---|---|---|---|
Local Currency Bonds I EUR Acc | 0.62 % | 0.33 % | 0.31 % | 0.31 % |
Emerging Market Blended Debt I USD Acc | % | % | % | % |