Fonds-Suche

Suchen

101 Fonds Ergebnisse

Name WKN KVG F-Fex
Rating
Morningstar
Rating
FNG
Siegel
1J Perf.
%
5J Perf.
%
10J Perf.
%
Volumen
in Mio.
M&G North American Value Fund Sterling A Acc Fonds M&G Securities 38,04 89,85 234,33 410,63
M&G North American Value Fund Sterling I Acc Fonds M&G Securities 38,59 93,69 252,32 410,63
M&G North American Value Fund Sterling I Inc Fonds A2PT45 M&G Securities 38,60 93,67 252,33 410,63
M&G Optimal Income Fund Sterling A Inc Fonds A1JTYQ M&G Securities 5,09 12,07 36,64 1460,43
M&G Optimal Income Fund Sterling A Acc Fonds A1C46K M&G Securities 5,09 12,03 36,56 1460,43
M&G Optimal Income Fund Sterling I Inc Fonds A1H449 M&G Securities 5,52 14,32 42,90 1460,43
M&G Optimal Income Fund Sterling I Acc Fonds A0RFDL M&G Securities 5,52 14,29 42,81 1460,43
M&G Recovery Fund Sterling A Inc Fonds A0M0D2 M&G Securities 21,05 32,39 61,28 1214,54
M&G Recovery Fund Sterling A Acc Fonds 164269 M&G Securities 21,05 32,35 61,15 1214,54
M&G Recovery Fund Sterling I Inc Fonds A1C2W1 M&G Securities 21,53 35,07 69,95 1214,54
M&G Recovery Fund Sterling I Acc Fonds A1XDJJ M&G Securities 21,54 35,02 69,82 1214,54
M&G Short Dated Corporate Bond Fund Sterling A Inc Fonds A2AUCR M&G Securities 4,19 17,75 31,10 884,78
M&G Short Dated Corporate Bond Fund Sterling I Inc Fonds A1W8LC M&G Securities 4,44 19,24 33,49 884,78
M&G Strategic Corporate Bond Fund Sterling A Inc Fonds A0RMZN M&G Securities 3,59 2,10 25,87 1126,04
M&G Strategic Corporate Bond Fund Sterling A Acc Fonds A1C46L M&G Securities 3,60 2,06 25,80 1126,04
M&G Strategic Corporate Bond Fund Sterling I Inc Fonds A1W017 M&G Securities 4,01 4,16 31,67 1126,04
M&G Strategic Corporate Bond Fund Sterling I Acc Fonds A1J8XN M&G Securities 4,01 4,12 31,54 1126,04
M&G UK Sustain Paris Aligned Fund Sterling A Inc Fonds A0M0DT M&G Securities 13,22 10,48 61,82 503,73
M&G UK Sustain Paris Aligned Fund Sterling A Acc Fonds A0M0DU M&G Securities 13,22 10,46 61,81 503,73
M&G UK Sustain Paris Aligned Fund Sterling I Inc Fonds M&G Securities 13,67 12,71 70,52 503,73