Termékinformációk
Az ön kérése
Kapcsolatok
onemarkets J.P. Morgan Emerging Markets Short Term Bond Fund C
- ISIN LU2673941055
- WKN A3EUGN
- Alapkezelő társaság UniCredit Invest Lux S.A.
- Terméktípus Fix kamatozású alapok
- Részvény osztály indulási dátuma 29.01.2024
- Végső kifizetés dátiuma Nyíltvégű
- Várható jövedelem felhalmozódó
- A részalap indításának dátuma 29.01.2024
- Fizetés pénzneme EUR
- Alap pénzneme EUR
- SFDR osztályzás Art. 6
A múltbeli hozamok nem jelentenek garanciát a jövőre nézve.
Termékrészletek
Összetétel
| Név | Százalék |
|---|---|
| NATL BANK OF ABU DHABI 6.32% 04-04-34 |
|
| SOUTHERN GAS CORRIDOR 6.875% 24-03-26 |
|
| PLUSPETROL 8.125% 18-05-31 |
|
| BURGAN BANK SAK 2.75% 15-12-31 |
|
| TRANSPORTADORA GAS DEL INTL SA ESP TGI 5.55% 01-11-28 |
|
| YAPI VE KREDI BANKASI AS 7.55% 11-06-36 |
|
| INDIA GREEN POWER 4.0% 22-02-27 |
|
| TRUST 2401 NEXT PPTYS 4.869% 15-01-30 |
|
| SOUTH AFRICA GOVERNMENT INTL BD 6.125% 11-12-37 |
|
| CFE FIBRA E 5.875% 23-09-40 |
|
| CORP FINANCIERA DE DESARROLLO COFIDE 5.5% 06-05-30 |
|
| TATA CAPITAL 5.389% 21-07-28 |
|
| TURKIYE VARLIK FONU 8.25% 14-02-29 |
|
| FS LUXEMBOURG SARL 8.875% 12-02-31 |
|
| TRINIDAD AND TOBAGO GOVERNMENT INT 4.5% 04-08-26 |
|
| TRINIDAD GENERATION UN 7.75% 16-06-33 |
|
| CAIXA ECONOMICA FEDERAL 5.625% 13-05-30 |
|
| EGYPT GOVERNEMENT INTL BOND 9.45% 04-02-33 |
|
| EMPRESA NACIONAL DE PETROLEO ENAP 5.95% 30-07-34 |
|
| CHILE ELECTRICITY LUX 6.01% 20-01-33 |
|
| HYUNDAI ASSAN OTOMOTIV SANAYI VE TICARET 1.625% 12-07-26 |
|
| MINERVA LUXEMBOURG 4.375% 18-03-31 |
|
| Banco Internacional del Peru SAA INTERBA 6.397% 30-04-35 |
|
| NSTITUTO COSTARRICANESE DE ELECTRICIDAD 6.75% 07-10-31 |
|
| TENGIZCHEVROIL FINANCE CO INTL 4.0% 15-08-26 |
|
| OZTEL HOLDINGS 6.625 18-28 24/04S |
|
| CORPORACION NACIONAL DEL COBRE DE CHILE 5.125% 02-02-33 |
|
| ENERGOPRO AS 6.45% 15-04-31 |
|
| IPOTEKABANK ATIB 6.45% 09-10-30 |
|
| GREENKO WIND PROJECTS MAURITIUS 7.25% 27-09-28 |
|
| FAR EAST HORIZON 5.875% 05-03-28 |
|
| IHS 5.625% 29-11-26 |
|
| BBVA BANCOMER SATEXAS 5.125% 18-01-33 |
|
| GACI FIRST INVESTMENT 4.75% 14-02-30 |
|
| SOUTH AFRICA GOVERNMENT INTL BD 7.1% 19-11-36 |
|
| QATAR GOVERNMENT INTL BOND 4.625% 29-05-29 |
|
| SUZANO AUSTRIA 6.0% 15-01-29 |
|
| SERBIA INTL BOND 6.25% 26-05-28 |
|
| NH INVESTMENT SECURITIES 4.75% 10-07-30 |
|
| PETROLEOS MEXICANOS 10.0% 07-02-33 |
|
| ORBIA ADVANCE CORPORATION SAB DE CV 2.875% 11-05-31 |
|
| FINANSBANK AS 5.875% 11-02-31 |
|
| MUANGTHAI LEASING PCL 7.55% 21-07-30 |
|
| DEWAN HOUSING FINANCE 7.8% 29-01-28 |
|
| PARAGUAY GOVERNMENT INTL BOND 5.85% 21-08-33 |
|
| MOROCCO GOVERNMENT INTL BOND 5.95% 08-03-28 |
|
| MEXICO GENERADORA DE ENERGIA 5.5% 06-12-32 |
|
| ABSA GROUP 6.625% 08-06-36 |
|
| EAGLE FUNDING LUXCO SARL 5.5% 17-08-30 |
|
| OLEODUCTO CENTRAL 4.0% 14-07-27 |
|
| HAZINE MUSTESARLIGI VARLIK KIRALAMA ANO 8.5091% 14-01-29 |
|
| QNB FINANCE 2.75% 12-02-27 |
|
| COMETA ENERGIA SA DE CV 6.375% 24-04-35 |
|
| OCP 6.1% 30-04-30 |
|
| SUCI SEND INVESTMENT 4.875% 08-05-32 |
|
| ROMANIAN GOVERNMENT INTL BOND 3.0% 14-02-31 |
|
| PANAMA GOVERNMENT INTL BOND 3.16% 23-01-30 |
|
| JORDAN GOVERNMENT INTL BOND 5.75% 12-11-32 |
|
| HONDURAS GOVERNMENT INTL BOND 8.625% 27-11-34 |
|
| GNL QUINTERO 4.634% 31-07-29 |
|
| KYOBO LIFE INSURANCE CO LIMITED E 5.9% 31-12-99 |
|
| SAMBA FUNDING 6.0% 24-06-35 |
|
| UNITED BANK OF AFRICA 6.75% 19-11-26 |
|
| DOMINICAN REPUBLIC INTL BOND 4.5% 30-01-30 |
|
| AI CANDELARIA SPAIN SL 7.5% 15-12-28 |
|
| COLOMBIA GOVERNMENT INTL BOND 4.5% 15-03-29 |
|
| GMR HYDERABAD INTL AIRPORT 4.25% 27-10-27 |
|
| BANK OF GEORGIA 9.5% PERP |
|
| CENCOSUD 5.95% 28-05-31 |
|
| YPF SOCIEDAD ANONIMA YACIMIENTOS PETROLI 9.0% 30-06-29 |
|
| ECUADOR GOVERNMENT INTL BOND 6.9% 31-07-35 |
|
| HUNGARIAN DEVELOPMENT BANK 6.5% 29-06-28 |
|
| COLOMBIA GOVERNMENT INTL BOND 3.875% 25-04-27 |
|
| TERM PO 7.875 01-29 |
|
| GUATEMALA GOVERNMENT BOND 6.55% 06-02-37 |
|
| NIGERIA GOVERNMENT INTL BOND 8.375% 24-03-29 |
|
| OTP BANK 7.5% 25-05-27 EMTN |
|
| KAZMUNAIGAZ NATL COMPANY 5.375% 24-04-30 |
|
| POLARIS INFRASTRUCTURE 9.5% 03-12-29 |
|
| DEVELOPMENT BANK KAZAKHSTAN JSC 4.6% 31-01-31 |
|
| CORP FINANCIERA DE DESARROLLO COFIDE 2.4% 28-09-27 |
|
| BURGAN SENIOR SPC 4.875% 16-10-30 |
|
| Bank Muscat SAOG 4.846% 01-10-30 |
|
| OCP 6.7% 01-03-36 |
|
| SCOTIABANK PERU SAA 6.1% 01-10-35 |
|
| AFRICA FINANCE CORPORATION 5.55% 08-10-29 |
|
| BRAZILIAN GOVERNMENT INTL BOND 6.125% 22-01-32 |
|
| MEDCO MAPLE TREE PTE 8.96% 27-04-29 |
|
| PROSUS NV 3.257% 19-01-27 |
|
| FORTUNE STAR BVI 5.05% 27-01-27 |
|
| CORPORACION NACIONAL DEL COBRE DE CHILE 3.0% 30-09-29 |
|
| COLOMBIA GOVERNMENT INTL BOND 6.125% 21-01-31 |
|
| BIDVEST GROUP UK 6.2% 17-09-32 |
|
| OCP 3.75% 23-06-31 |
|
| COLOMBIA TELECOMUNICACIONES 4.95% 17-07-30 |
|
| DOMINICAN REPUBLIC INTL BOND 7.05% 03-02-31 |
|
| ANDEAN DEVELOPMENT CORPORATION 6.75% PERP |
|
| EDO SUKUK 5.662% 03-07-31 |
|
| FREEPORT INDONESIA PT 4.763% 14-04-27 |
|
| PETROLEOS MEXICANOS 6.84% 23-01-30 |
|
| ABU DHABI DEVELOPMENTAL HOLDING COMPANY 5.0% 06-05-35 |
|
| MEXICO GOVERNMENT INTL BOND 6.0% 13-05-30 |
|
| DOMINICAN REPUBLIC INTL BOND 5.5% 22-02-29 |
|
| MEDCO LAUREL TREE PTE 6.95% 12-11-28 |
|
| TRINIDAD AND TOBAGO GOVERNMENT INT 4.5% 26-06-30 |
|
| BRAZILIAN GOVERNMENT INTL BOND 3.875% 12-06-30 |
|
| ABU DHABI CRUDE OIL 3.65% 02-11-29 |
|
| ROMANIAN GOVERNMENT INTL BOND 5.25% 25-11-27 |
|
| MUTHOOT FINANCE 5.75% 04-08-30 |
|
| HYUNDAI CARD 5.75% 24-04-29 |
|
| JORDAN GOVERNMENT INTL BOND 5.85% 07-07-30 |
|
| BANCA TRANSILVANIA 7.125% PERP |
|
| COMPANIA DE MINAS BUENAVENTURA 6.8% 04-02-32 |
|
| PETROLEOS MEXICANOS 6.7% 16-02-32 |
|
| ACU PETROLEO LUXEMBOURG SARL 7.5% 13-01-32 |
|
| BANCO NACIONAL DE COMERCIO EXTERIOR SNC 5.875% 07-05-30 |
|
| MEXICO GOVERNMENT INTL BOND 5.0% 07-05-29 |
|
| ABU DHABI DEVELOPMENTAL HOLDING COMPANY 5.375% 08-05-29 |
|
| TERMOCANDELARIA POWER 7.75% 17-09-31 |
|
| CORPORACION INMOBILIARIA VESTA SAB DE CV 3.625% 13-05-31 |
|
| SOC NATLA DE GAZE NATURALE ROMGAZ 4.625% 04-11-31 |
|
| YPF SOCIEDAD ANONIMA YACIMIENTOS PETROLI 8.75% 11-09-31 |
|
| ROMANIAN GOVERNMENT INTL BOND 5.875% 30-01-29 |
|
| METALSA SA DE CV 3.75% 04-05-31 |
|
| OMAN GOVERNMENT INTL BOND 7.375% 28-10-32 |
|
| PERU LNG SRL 5.375% 22-03-30 |
|
| GRUPO NUTRE 8.0% 12-05-30 |
|
| SAUDI INTL BOND 5.625% 13-01-35 |
|
| STUDIO CITY FINANCE 6.5% 15-01-28 |
|
| ORAZUL ENERGY PERU 6.25% 17-09-32 |
|
| CBQ FINANCE 4.625% 10-09-30 |
|
| JPMorgan Liquidity Funds - USD Liquidity LVNAV Fund X (dist |
|
| GLOBAL SUKUK VENTURES 4.25% 10-11-35 |
|
| IHS 6.25% 29-11-28 |
|
| OMAN GOVERNMENT INTL BOND 5.625% 17-01-28 |
|
| ECOPETROL 8.875% 13-01-33 |
|
| CAS CAPITAL NO 2 6.25% PERP |
|
| FIRST ABU DHABI BANK 5.875% PERP |
|
| MERSIN ULUSLARARASI LIMANI ISLETMECILIG 8.25% 15-11-28 |
|
| AFRICAN EX-IM BKREXIMBANK 2.634% 17-05-26 |
|
| YPF SOCIEDAD ANONIMA YACIMIENTOS PETROLI 8.5% 27-06-29 |
|
| EMPRESA NACIONAL DE PETROLEO ENAP 5.25% 06-11-29 |
|
| HUARONG FINANCE II 4.625% 03-06-26 |
|
| TRANSNET 8.25% 06-02-28 |
|
| GHANA GOVERNMENT INTL BOND 5.0% 03-07-35 |
|
| IVORY COAST GOVERNMENT INT BOND 7.625% 30-01-33 |
|
| RAIZEN FUELS FINANCE 5.3% 20-01-27 |
|
| JORDAN GOVERNMENT INTL BOND 5.75% 31-01-27 |
|
| PETROLEOS MEXICANOS 8.75% 02-06-29 |
|
| NIGERIA GOVERNMENT INTL BOND 8.6308% 13-01-36 |
|
| ABU DHABI DEVELOPMENTAL HOLDING COMPANY 4.5% 06-05-30 |
|
| COLOMBIA GOVERNMENT INTL BOND 7.75% 07-11-36 |
|
| BANCO DAVIVIENDA 6.65% PERP |
|
| SANDS CHINA 5.4% 08-08-28 |
|
| GUATEMALA GOVERNMENT BOND 4.5% 03-05-26 |
|
| AL RAJHI SUKUK 6.25% PERP EMTN |
|
| IVORY COAST GOVERNMENT INT BOND 8.075% 01-04-36 |
|
| ENFRAGEN ENERGIA SUR 5.375% 30-12-30 |
|
| TC ZIRAAT BANKASI AS 8.375% PERP |
|
| HYUNDAI CAPITAL SERVICES 5.125% 05-02-29 |
|
| POINSETTIA FINANCE 6.625% 17-06-31 |
|
| ECUADOR GOVERNMENT INTL BOND 6.9% 31-07-30 |
|
| TURKEY GOVERNMENT INTL BOND 5.2% 17-08-31 |
|
| LD CELULOSE 7.95% 26-01-32 |
|
| MUANG THAI LIFE ASSURANCE 3.552% 27-01-37 |
|
| PETROLEOS MEXICANOS 4.75% 26-02-29 |
|
| ROMANIAN GOVERNMENT INTL BOND 6.625% 17-02-28 |
|
| YAPI VE KREDI BANKASI AS 8.25% PERP |
|
| ATP TWR HLDG AN TEL PRT CHILE AN TWR PRT 7.875% 03-02-30 |
|
| ABSA GROUP 6.375% PERP |
|
| KAZMUNAIGAZ NATL COMPANY 3.5% 14-04-33 |
|
| TELEFONICA CELULAR DEL PARAGUAY 5.875% 15-04-27 |
|
| INDUSTRIAL SUBORDINATED TRUST 6.55% 15-04-36 |
|
| MUTHOOT FINANCE 6.375% 23-04-29 |
|
| FORD OTOMOTIV SANAYI AS 7.125% 25-04-29 |
|
| INDIA CLEAN ENERGY 4.5% 18-04-27 |
|
| SMRC AUTOMOTIVE HOLDINGS NETHERLANDS BV 5.625% 11-07-29 |
|
| TERMOCANDELARIA POWER 7.875% 30-01-29 |
|
| TENGIZCHEVROIL FINANCE CO INTL 3.25% 15-08-30 |
|
| MELCO RESORTS FINANCE 5.375% 04-12-29 |
|
| CEMEX SAB DE CV 5.45% 19-11-29 |
|
| JSCB AGROBANK 9.25% 02-10-29 |
|
| BANCO DE CREDITO E INVERSIONES SA CREDIT 8.75% PERP |
|
| JSW INFRASTRUCTURE 4.95% 21-01-29 |
|
| OMAN GOVERNMENT INTL BOND 6.0% 01-08-29 |
|
| ENN CLEAN ENERGY INTL INVESTM 3.375% 12-05-26 |
|
| ISTANBUL METROPOLITAN MU 10.5% 06-12-28 |
|
| BANCO MERCANTILE DEL NORTE SA GRAND 8.375% PERP |
|
| BIOCEANICO SOVEREIGN 0.0% 05-06-34 |
|
| MEXICO CITY ARPT TRUST 3.875% 30-04-28 |
|
| PANAMA GOVERNMENT INTL BOND 9.375% 01-04-29 |
|
| RENEW TREASURY IFSC PVT 6.5% 02-02-31 |
|
| MEXICO GOVERNMENT INTL BOND 6.125% 09-02-38 |
|
| RAK CAPITAL 5.0% 12-03-35 |
|
| ISRAEL GOVERNMENT INTL BOND 5.375% 19-02-30 |
|
| EMPR NA 5.95 07-34 |
|
| AEGEA FINANCE SA RL 9.0% 20-01-31 |
|
| LG ELECTRONICS 5.625% 24-04-27 |
|
| TURKIYE GARANTI BANKASI AS 7.625% 15-04-36 |
|
| OTP BANK 7.3% 30-07-35 EMTN |
|
| TAV HAVALIMANLARI HOLDING AS 8.5% 07-12-28 |
|
| SASOL FINANCING USA LLC 4.375% 18-09-26 |
|
| DEVELOPMENT BANK KAZAKHSTAN JSC 5.5% 15-04-27 |
|
| INFRAESTRUCTURA ENERGETICA NOVA SAB DE C 3.75% 14-01-28 |
|
| SILK ROAD GROUP HOLDING LLC 7.5% 15-09-30 |
|
| BANCO DEL ESTADO DE CHILE 7.95% PERP |
|
| KRUNG THAI BANK 4.4% PERP |
|
| PETROLEOS MEXICANOS 5.95% 28-01-31 |
|
| ECOPETROL 8.625% 19-01-29 |
|
| HONDURAS GOVERNMENT INTL BOND 6.25% 19-01-27 |
|
| PANAMA GOVERNMENT INTL BOND 7.5% 01-03-31 |
|
| ECUADOR GOVERNMENT INTL BOND 9.25% 29-01-39 |
|
| GEORGIA GOVERNMENT INTL BOND 5.125% 28-01-31 |
|
| HYUNDAI CAPITAL SERVICES 1.25% 08-02-26 |
|
| GEORGIAN RAILWAY 4.0% 17-06-28 |
|
| HUNGARIAN EXPORTIMPORT BANK 6.125% 04-12-27 |
|
| TEVA PHARMACEUTICAL FINANCE NETH III BV 7.875% 15-09-29 |
|
| NATL BANK OF KUWAIT 5.25% 10-02-36 |
|
| BANCO NACIONAL DE COMERCIO EXTERIOR SNC 2.72% 11-08-31 |
|
| HUARONG FINANCE II 4.875% 22-11-26 |
|
| SIERRACOL ENERGY ANDINA LLC 9.0% 14-11-30 |
|
| FWD GROUP 5.252% 22-09-30 EMTN |
|
| BANK BUKOPIN TBK PT 5.658% 30-10-27 |
|
| NBK TIER 1 3.625% PERP |
|
| CHILE ELECTRICITY PEC ZCP 25-01-28 |
|
| DOMINICAN REPUBLIC INTL BOND 6.0% 19-07-28 |
|
| PANAMA GOVERNMENT INTL BOND 3.875% 17-03-28 |
|
| ARIS MINING 8.0% 31-10-29 |
|
| WE SODA INVESTMENTS 9.5% 06-10-28 |
|
| ANGOLAN GOVERNMENT INTL BOND 8.75% 14-04-32 |
|
| EMPRESA NACIONAL DE PETROLEO ENAP 3.45% 16-09-31 |
|
| PRUMO PARCIPACOES E INVESTMENTS 7.5% 31-12-31 |
|
| DIGICEL INTL FINANCE 8.625% 01-08-32 |
|
| BANK NEGARA INDONESIA TBK 4.3% PERP |
|
| SUZANO AUSTRIA 2.5% 15-09-28 |
|
| GUARA NORTE SARL 5.198% 15-06-34 |
|
| PUERTO DE LIVERPOOL SAB 6.255% 22-01-32 |
|
| TVF VARLIK KIRALAMA AS 6.95% 23-01-30 |
|
| WYNN MACAU 5.625% 26-08-28 |
|
| KENYA GOVERNMENT INTL BOND 9.75% 16-02-31 |
|
| THAIOIL TREASURY CENTER COMPANY 6.1% PERP |
|
| MIRAE ASSET SECURITIES 5.5% 31-07-27 |
|
| AEROPUERTOS DOMINICANOS 7.0% 30-06-34 |
|
| PANAMA GOVERNMENT INTL BOND 8.875% 30-09-27 |
|
| ENERGEAN OIL GAS 5.625% 12-05-31 |
|
| KUWAIT INTL GOVERNMENT BOND 4.136% 09-10-30 |
|
| AZULE ENERGY FINANCE 8.125% 23-01-30 |
|
| CEMEX SAB DE CV 5.125% PERP |
|
| EL SALVADOR GOVERNMENT INTERNATIO BOND 9.25% 17-04-30 |
|
| SUZANO AUSTRIA 3.75% 15-01-31 |
|
| ECOPETROL 6.875% 29-04-30 |
|
| PARAGUAY GOVERNMENT INTL BOND 4.7% 27-03-27 |
|
| SJM INTL 6.5% 15-01-31 |
|
| THE EGYPTIAN FINANCIAL COMPANY FOR SAE 7.95% 07-10-32 |
|
| BBVA BANCOMER SATEXAS 7.625% 11-02-35 |
|
| LATVIA GOVERNMENT INTL BOND 5.125% 30-07-34 |
|
| TEVA PHARMACEUTICAL FINANCE NETH III BV 8.125% 15-09-31 |
|
| ARDSHINBANK CJSC VIA DILIJAN FINANCE BV 6.6% 22-01-31 |
|
| HYUNDAI CAPITAL AMERICA 4.5% 18-09-30 |
|
| PARAGUAY GOVERNMENT INTL BOND 4.95% 28-04-31 |
|
| ISRAEL GOVERNMENT INTL BOND 5.375% 12-03-29 |
|
| MEXICO GOVERNMENT INTL BOND 4.875% 19-05-33 |
|
| MUTHOOT FINANCE 6.375% 02-03-30 |
|
| TONG YANG LIFE INSURANCE 6.25% 07-05-35 |
|
| ANGOLAN GOVERNMENT INTL BOND 8.25% 09-05-28 |
|
| IVORY COAST GOVERNMENT INT BOND 6.375% 03-03-28 |
|
| MAF GLOBAL SECURITIES 5.7477% PERP |
|
| Mutass többet |
| Név | Százalék |
|---|---|
| HUN |
|
| GEO |
|
| UZB |
|
| NGA |
|
| GTM |
|
| PER |
|
| USA |
|
| ECU |
|
| AGO |
|
| LUX |
|
| HND |
|
| GBR |
|
| THA |
|
| SLV |
|
| ESP |
|
| GHA |
|
| SRB |
|
| QAT |
|
| COL |
|
| KAZ |
|
| OMN |
|
| ROU |
|
| JOR |
|
| SUP |
|
| SGP |
|
| PAN |
|
| CAN |
|
| AZE |
|
| CRI |
|
| AUT |
|
| VGB |
|
| ZAF |
|
| TTO |
|
| IND |
|
| IDN |
|
| EGY |
|
| NLD |
|
| PRY |
|
| CHL |
|
| BMU |
|
| CZE |
|
| KOR |
|
| MAR |
|
| LVA |
|
| CYM |
|
| DOM |
|
| KEN |
|
| BRA |
|
| ARE |
|
| SAU |
|
| HKG |
|
| TUR |
|
| MEX |
|
| MUS |
|
| KWT |
|
| ARG |
|
| ISR |
|
| CIV |
|
| Mutass többet |
| Név | Százalék |
|---|---|
| Lodging And Catering Ind. - Leisure Facilities |
|
| Chemicals |
|
| Electrical Appliances And Components |
|
| Real Estate |
|
| Electronics And Semiconductors |
|
| Public - Non-Profit Institutions |
|
| Supranational Organisations |
|
| Miscellaneous Services |
|
| Telecommunication |
|
| Traffic And Transportation |
|
| Mining - Coal - Steel |
|
| Petroleum |
|
| Insurance Companies |
|
| Vehicles |
|
| Mortgage - Funding Institutions (Mba-Abs) |
|
| Office Supplies And Computing |
|
| Precious Metals And Precious Stones |
|
| Countries And Central Governments |
|
| Banks And Other Credit Institutions |
|
| Financial - Investment - Other Diversified Comp. |
|
| Pharmaceuticals - Cosmetics - Med. Products |
|
| Building Materials And Building Industry |
|
| Investment Trusts / Funds And Provisioning Inst. |
|
| Food And Soft Drinks |
|
| Internet - Software - It Services |
|
| Non-Classifiable/Non-Classified Institutions |
|
| Energy And Water Supply |
|
| Miscellaneous Trading Companies |
|
| Retail Trade And Department Stores |
|
| Cities - Municipal Authorities |
|
| Mutass többet |
| Név | Százalék |
|---|---|
| Cash Ratio |
|
| Név | Százalék |
|---|---|
| USD |
|
| EUR |
|
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Megjegyzés a nem kötelező mintaszámításhoz
EZ EGY MARKETING KÖZLEMÉNY. Kérjük, a végleges befektetési döntések meghozatala előtt tekintse át az alap tájékoztatóját és a Kiemelt Információkat Tartalmazó Dokumentumot (KID). Ez a múltbeli teljesítménykalkulátor a múltbeli adatokon alapul. A múltbeli teljesítmény nem jelzi előre a jövőbeni hozamokat. A piacok a jövőben nagyon eltérően alakulhatnak. Megjegyzés: A számítás nem felel meg a szabályozói költségek közzétételére vonatkozó követelményeknek. Nem tartalmazza a folyamatos alapköltségeket, a belépési vagy a fennállási költségeket és a letétkezelési díjakat sem veszi figyelembe. A díjak és költségek csökkentik a befektetési hozamokat. Ez az információ nem tekinthető előrejelzésnek, kutatásnak vagy befektetési tanácsadásnak, és nem minősül értékpapírok vételére vagy eladására, illetve befektetési stratégia alkalmazására vonatkozó ajánlásnak vagy ajánlatnak, és kizárólag tájékoztatási célokat szolgál. Ez az információ automatikusan megjelenik azoknál az alapoknál is, amelyek esetében a jegyzés már nem lehetséges. A befektetői jogokra, valamint a kollektív jogorvoslati eszközökre vonatkozó információk összefoglalása angol nyelven a következő címen található: https://www.structuredinvest.lu/lu/en/fund-platform/about-us.html. Az Alapkezelő Társaság dönthet úgy, hogy megszünteti a kollektív befektetési vállalkozásainak forgalmazására vonatkozó intézkedéseket a 2009/65/EK irányelv 93a. cikkével összhangban. Alaptermékeinkkel vagy az esetleges költségekkel kapcsolatos kérdéseivel forduljon személyes bankárához vagy letétkezelő bankjához.













