Name
|
WKN |
Fondsgesellschaft
|
Währ.
|
1-Y Perf. %
|
3-Y Perf. %
|
5-Y Perf. %
|
Volumen (Mio.)
|
KBC Bonds Convertibles Acc Fonds
|
921389
|
KBC Asset Management NV
|
EUR
|
1,76
|
-6,76
|
5,28
|
74,44
|
KBC Bonds Convertibles B Acc Fonds
|
A1J6EF
|
KBC Asset Management NV
|
EUR
|
-
|
-
|
-
|
74,44
|
KBC Bonds Convertibles Euro Hedged Acc Fonds
|
A0LGEU
|
KBC Asset Management NV
|
EUR
|
1,23
|
-8,66
|
2,48
|
74,44
|
KBC Bonds Convertibles Euro Hedged Inc Fonds
|
A0LGET
|
KBC Asset Management NV
|
EUR
|
0,98
|
-8,96
|
2,16
|
74,44
|
KBC Bonds Convertibles Inc Fonds
|
921387
|
KBC Asset Management NV
|
EUR
|
1,46
|
-7,06
|
4,93
|
74,44
|
KBC Bonds Corporates Euro Capitalisation Fonds
|
921409
|
KBC Asset Management NV
|
EUR
|
3,63
|
1,31
|
1,33
|
983,5
|
KBC Bonds Corporates Euro Distribution Fonds
|
921408
|
KBC Asset Management NV
|
EUR
|
-0,43
|
-4,34
|
-4,49
|
983,5
|
KBC Bonds Corporates Euro Institutional B Shares Capitalization Fonds
|
A1JZV0
|
KBC Asset Management NV
|
EUR
|
4,28
|
3,20
|
4,43
|
983,5
|
KBC Bonds Corporates Euro Institutional Shares Distribution Fonds
|
A0MXV0
|
KBC Asset Management NV
|
EUR
|
13,02
|
1,01
|
0,52
|
983,5
|
KBC Bonds Corporates USD Acc Fonds
|
933691
|
KBC Asset Management NV
|
USD
|
3,74
|
2,41
|
3,06
|
60,55
|
KBC Bonds Corporates USD B Acc Fonds
|
A1JZV4
|
KBC Asset Management NV
|
USD
|
4,40
|
4,40
|
6,35
|
60,55
|
KBC Bonds Corporates USD Inc Fonds
|
933690
|
KBC Asset Management NV
|
USD
|
-2,12
|
-6,00
|
-5,48
|
60,55
|
KBC Bonds Emerging Europe Acc Fonds
|
755633
|
KBC Asset Management NV
|
EUR
|
4,42
|
15,68
|
-17,48
|
69,74
|
KBC Bonds Emerging Europe B Acc Fonds
|
|
KBC Asset Management NV
|
EUR
|
5,42
|
19,02
|
-
|
69,74
|
KBC Bonds Emerging Europe Inc Fonds
|
755632
|
KBC Asset Management NV
|
EUR
|
-1,37
|
5,18
|
-25,03
|
69,74
|
KBC Bonds Emerging Europe USD Inc Fonds
|
A0RD3Z
|
KBC Asset Management NV
|
USD
|
-1,39
|
5,34
|
-24,87
|
69,74
|
KBC Bonds Emerging Markets Acc Fonds
|
675673
|
KBC Asset Management NV
|
USD
|
1,89
|
4,30
|
7,29
|
280,63
|
KBC Bonds Emerging Markets B Acc Fonds
|
A1JZVZ
|
KBC Asset Management NV
|
USD
|
3,00
|
7,72
|
13,18
|
280,63
|
KBC Bonds Emerging Markets Inc Fonds
|
933995
|
KBC Asset Management NV
|
USD
|
-5,31
|
-6,55
|
-3,99
|
280,63
|
KBC Bonds High Interest Acc Fonds
|
974100
|
KBC Asset Management NV
|
EUR
|
0,68
|
-4,64
|
-10,05
|
761,01
|