Produkt Kurzinformationen
Ihre Anfrage
Kontakt
onemarkets J.P. Morgan Emerging Markets Short Term Bond Fund MD
- ISIN LU2673936485
- WKN A3EUGV
- Auflegende Gesellschaft/KAG UniCredit Invest Lux S.A.
- Produkttyp Rentenfonds
- Auflagedatum der Anteilsklasse 29.01.2024
- Rückzahlungstermin Open End
- Ertragsverwendung ausschüttend
- Auflagedatum des Teilfonds 29.01.2024
- Währung EUR
- Fondswährung EUR
- SFDR Klassifizierung Art. 6
Historische Betrachtungen stellen keinen verlässlichen Indikator für zukünftige Entwicklungen dar.
Produktdetails
Portfolio
| Name | Prozentsatz |
|---|---|
| Electronics And Semiconductors |
|
| Supranational Organisations |
|
| Traffic And Transportation |
|
| Cantons - Federal States - Provinces Etc. |
|
| Investment Trusts / Funds And Provisioning Inst. |
|
| Miscellaneous Trading Companies |
|
| Precious Metals And Precious Stones |
|
| Real Estate |
|
| Energy And Water Supply |
|
| Mortgage - Funding Institutions (Mba-Abs) |
|
| Building Materials And Building Industry |
|
| Vehicles |
|
| Retail Trade And Department Stores |
|
| Petroleum |
|
| Miscellaneous Services |
|
| Office Supplies And Computing |
|
| Food And Soft Drinks |
|
| Banks And Other Credit Institutions |
|
| Non-Classifiable/Non-Classified Institutions |
|
| Mining - Coal - Steel |
|
| Lodging And Catering Ind. - Leisure Facilities |
|
| Countries And Central Governments |
|
| Chemicals |
|
| Insurance Companies |
|
| Cities - Municipal Authorities |
|
| Electrical Appliances And Components |
|
| Internet - Software - It Services |
|
| Telecommunication |
|
| Financial - Investment - Other Diversified Comp. |
|
| Public - Non-Profit Institutions |
|
| Mehr anzeigen |
| Name | Prozentsatz |
|---|---|
| HYUNDAI CARD 5.75% 24-04-29 |
|
| GUARA NORTE SARL 5.198% 15-06-34 |
|
| SRC SUKUK 4.375% 02-04-29 EMTN |
|
| TURKEY GOVERNMENT INTL BOND 5.2% 17-08-31 |
|
| BRAZILIAN GOVERNMENT INTL BOND 3.875% 12-06-30 |
|
| PANAMA GOVERNMENT INTL BOND 8.875% 30-09-27 |
|
| MDGH GMTN BV 4.500 18-28 07/11S |
|
| ROMANIAN GOVERNMENT INTL BOND 6.625% 17-02-28 |
|
| PANAMA GOVERNMENT INTL BOND 7.5% 01-03-31 |
|
| MUTHOOT FINANCE 6.375% 02-03-30 |
|
| EMPRESA NACIONAL DE PETROLEO ENAP 5.95% 30-07-34 |
|
| FORTUNE STAR BVI 5.05% 27-01-27 |
|
| PERUVIAN GOVERNMENT INTL BOND 1.862% 01-12-32 |
|
| EMPRESA NACIONAL DE PETROLEO ENAP 5.25% 06-11-29 |
|
| MEDCO LAUREL TREE PTE 6.95% 12-11-28 |
|
| IPOTEKABANK ATIB 6.45% 09-10-30 |
|
| TURKIYE VARLIK FONU 8.25% 14-02-29 |
|
| ABSA GROUP 6.375% PERP |
|
| TRANSPORTADORA GAS DEL INTL SA ESP TGI 5.55% 01-11-28 |
|
| FINANSBANK AS 5.875% 11-02-31 |
|
| JORDAN GOVERNMENT INTL BOND 5.75% 12-11-32 |
|
| ENERGOPRO AS 6.45% 15-04-31 |
|
| TERMOCANDELARIA POWER 7.75% 17-09-31 |
|
| IHS 5.625% 29-11-26 |
|
| BURGAN BANK SAK 2.75% 15-12-31 |
|
| UZBEKNEFTEGAZ JSC 8.75% 07-05-30 |
|
| ENN CLEAN ENERGY INTL INVESTM 3.375% 12-05-26 |
|
| INDIA CLEAN ENERGY 4.5% 18-04-27 |
|
| CORP FINANCIERA DE DESARROLLO COFIDE 2.4% 28-09-27 |
|
| CAIXA ECONOMICA FEDERAL 5.625% 13-05-30 |
|
| ATP TWR HLDG AN TEL PRT CHILE AN TWR PRT 7.875% 03-02-30 |
|
| Banco Internacional del Peru SAA INTERBA 6.397% 30-04-35 |
|
| LG ELECTRONICS 5.625% 24-04-27 |
|
| PETROLEOS MEXICANOS 4.75% 26-02-29 |
|
| ROMANIAN GOVERNMENT INTL BOND 5.25% 25-11-27 |
|
| SAMBA FUNDING 6.0% 24-06-35 |
|
| IVORY COAST GOVERNMENT INT BOND 8.075% 01-04-36 |
|
| CHILE ELECTRICITY PEC ZCP 25-01-28 |
|
| SUZANO AUSTRIA 6.0% 15-01-29 |
|
| INDUSTRIAL SUBORDINATED TRUST 6.55% 15-04-36 |
|
| MUANG THAI LIFE ASSURANCE 3.552% 27-01-37 |
|
| KAZMUNAIGAZ NATL COMPANY 5.375% 24-04-30 |
|
| PANAMA GOVERNMENT INTL BOND 5.662% 23-02-38 |
|
| TC ZIRAAT BANKASI AS 8.375% PERP |
|
| PUERTO DE LIVERPOOL SAB 6.255% 22-01-32 |
|
| REPUBLIQUE DE MACEDOINE 9.5% 05-02-31 |
|
| INDIA GREEN POWER 4.0% 22-02-27 |
|
| PRUMO PARCIPACOES E INVESTMENTS 7.5% 31-12-31 |
|
| OZTEL HOLDINGS 6.625 18-28 24/04S |
|
| FONDO MIVIVIENDA 5.4% 31-03-31 |
|
| CAYMAN ISLANDS MTR 4.875% PERP |
|
| BRAZILIAN GOVERNMENT INTL BOND 6.125% 22-01-32 |
|
| JSW INFRASTRUCTURE 4.95% 21-01-29 |
|
| BANCO DAVIVIENDA 6.65% PERP |
|
| DP WORLD CRESCENT LTD 3.75 19-30 30/01S |
|
| HUNGARIAN EXPORTIMPORT BANK 6.125% 04-12-27 |
|
| BBVA BANCOMER SATEXAS 5.125% 18-01-33 |
|
| PANAMA GOVERNMENT INTL BOND 3.875% 17-03-28 |
|
| JSCB AGROBANK 9.25% 02-10-29 |
|
| CENCOSUD 5.95% 28-05-31 |
|
| QATAR GOVERNMENT INTL BOND 4.75% 29-05-34 |
|
| ARDSHINBANK CJSC VIA DILIJAN FINANCE BV 6.6% 22-01-31 |
|
| THE EGYPTIAN FINANCIAL COMPANY FOR SAE 7.95% 07-10-32 |
|
| SAUDI INTL BOND 5.625% 13-01-35 |
|
| ISTANBUL METROPOLITAN MU 10.5% 06-12-28 |
|
| PETROLEOS MEXICANOS 5.95% 28-01-31 |
|
| CORPORACION NACIONAL DEL COBRE DE CHILE 3.0% 30-09-29 |
|
| DP WORLD CRESCENT 3.875% 18-07-29 |
|
| TENGIZCHEVROIL FINANCE CO INTL 4.0% 15-08-26 |
|
| ISRAEL GOVERNMENT INTL BOND 4.5% 13-01-31 |
|
| DIGI IN 8.625 08-32 |
|
| DEVELOPMENT BANK KAZAKHSTAN JSC 5.5% 15-04-27 |
|
| TRINIDAD AND TOBAGO GOVERNMENT INT 4.5% 26-06-30 |
|
| QNB FINANCE 2.75% 12-02-27 |
|
| CEMEX SAB DE CV 5.45% 19-11-29 |
|
| BANCO DE CREDITO E INVERSIONES SA CREDIT 8.75% PERP |
|
| FS LUXEMBOURG SARL 8.875% 12-02-31 |
|
| COLOMBIA TELECOMUNICACIONES 4.95% 17-07-30 |
|
| AI CANDELARIA SPAIN SL 7.5% 15-12-28 |
|
| ISRAEL GOVERNMENT INTL BOND 5.375% 12-03-29 |
|
| AEROPUERTOS DOMINICANOS 7.0% 30-06-34 |
|
| OCP 3.75% 23-06-31 |
|
| ECUADOR GOVERNMENT INTL BOND 6.9% 31-07-35 |
|
| DOMINICAN REPUBLIC INTL BOND 4.5% 30-01-30 |
|
| ECUADOR GOVERNMENT INTL BOND 9.25% 29-01-39 |
|
| NIGERIA GOVERNMENT INTL BOND 10.375% 09-12-34 |
|
| MERSIN ULUSLARARASI LIMANI ISLETMECILIG 8.25% 15-11-28 |
|
| STUDIO CITY FINANCE 6.5% 15-01-28 |
|
| COLOMBIA GOVERNMENT INTL BOND 4.5% 15-03-29 |
|
| COMETA ENERGIA SA DE CV 6.375% 24-04-35 |
|
| GACI FIRST INVESTMENT 4.75% 14-02-30 |
|
| YPF SOCIEDAD ANONIMA YACIMIENTOS PETROLI 8.75% 11-09-31 |
|
| RAK CAPITAL 5.0% 12-03-35 |
|
| AKBANK TAS 7.875% 04-09-35 |
|
| EGYPT GOVERNEMENT INTL BOND 9.45% 04-02-33 |
|
| RENEW TREASURY IFSC PVT 6.5% 02-02-31 |
|
| NATL CENTRAL COOLING CO PJ 5.279% 05-03-30 |
|
| UNITED BANK OF AFRICA 6.75% 19-11-26 |
|
| IVORY COAST GOVERNMENT INT BOND 6.75% 25-02-41 |
|
| PARAGUAY GOVERNMENT INTL BOND 4.95% 28-04-31 |
|
| ECOPETROL 8.875% 13-01-33 |
|
| TRANSPORTADORA DE GAS DEL PERU 4.25% 30-04-28 |
|
| OTP BANK 7.3% 30-07-35 EMTN |
|
| MEXICO GOVERNMENT INTL BOND 5.0% 07-05-29 |
|
| ENERGEAN OIL GAS 5.625% 12-05-31 |
|
| ANDEAN DEVELOPMENT CORPORATION 6.75% PERP |
|
| ROMANIAN GOVERNMENT INTL BOND 5.125% 24-09-31 |
|
| DOMINICAN REPUBLIC INTL BOND 5.5% 22-02-29 |
|
| TRANSNET 8.25% 06-02-28 |
|
| SERBIA INTL BOND 6.25% 26-05-28 |
|
| ADVANCED INFO SERVICE PUBLIC 4.26% 04-03-31 |
|
| TURKIYE GARANTI BANKASI AS 7.625% 15-04-36 |
|
| ABU DHABI DEVELOPMENTAL HOLDING COMPANY 4.5% 06-05-30 |
|
| EMPRESA NACIONAL DE PETROLEO ENAP 3.45% 16-09-31 |
|
| HTA GROUP 6.75% 01-04-31 |
|
| PAKISTAN WATER AND POWER DEVELOPMENT 7.5% 04-06-31 |
|
| FIRST QUANTUM MINERALS 8.625% 01-06-31 |
|
| ECUADOR GOVERNMENT INTL BOND 6.9% 31-07-30 |
|
| DOMINICAN REPUBLIC INTL BOND 7.05% 03-02-31 |
|
| ROMANIAN GOVERNMENT INTL BOND 5.375% 22-03-31 |
|
| PT Bank Mandiri Persero Tbk 5.25% 10-04-31 |
|
| COLOMBIA GOVERNMENT INTL BOND 6.125% 21-01-31 |
|
| CORP FINANCIERA DE DESARROLLO COFIDE 5.5% 06-05-30 |
|
| AZULE ENERGY FINANCE 8.125% 23-01-30 |
|
| TERMOCANDELARIA POWER 7.875% 30-01-29 |
|
| EL SALVADOR GOVERNMENT INTERNATIO BOND 9.25% 17-04-30 |
|
| NBK TIER 1 3.625% PERP |
|
| BANCO MERCANTILE DEL NORTE SA GRAND 8.375% PERP |
|
| OCP 6.7% 01-03-36 |
|
| BANK NEGARA INDONESIA TBK 4.3% PERP |
|
| GRUPO NUTRE 8.0% 12-05-30 |
|
| SOUTH AFRICA GOVERNMENT INTL BD 6.125% 11-12-37 |
|
| NBK TIER 1 6.375% PERP |
|
| COMPANIA DE MINAS BUENAVENTURA 6.8% 04-02-32 |
|
| SOUTH AFRICA GOVERNMENT INTL BD 7.1% 19-11-36 |
|
| AFRICAN EX-IM BKREXIMBANK 2.634% 17-05-26 |
|
| POWER FINANCE 4.5% 18-06-29 |
|
| GUATEMALA GOVERNMENT BOND 4.5% 03-05-26 |
|
| BANCO NACIONAL DE COMERCIO EXTERIOR SNC 5.875% 07-05-30 |
|
| EDO SUKUK 5.662% 03-07-31 |
|
| PROSUS NV 3.257% 19-01-27 |
|
| ARIS MINING 8.0% 31-10-29 |
|
| JPMorgan Liquidity Funds - USD Liquidity LVNAV Fund X (dist |
|
| MUTHOOT FINANCE 6.375% 23-04-29 |
|
| AEGEA FINANCE SA RL 9.0% 20-01-31 |
|
| HYUNDAI ASSAN OTOMOTIV SANAYI VE TICARET 1.625% 12-07-26 |
|
| PLUSPETROL 8.125% 18-05-31 |
|
| BURGAN SENIOR SPC 4.875% 16-10-30 |
|
| CEMEX SAB DE CV 5.125% PERP |
|
| ENFRAGEN ENERGIA SUR 5.375% 30-12-30 |
|
| PETROLEOS MEXICANOS 6.84% 23-01-30 |
|
| GNL QUINTERO 4.634% 31-07-29 |
|
| SITIOS LATINOAMERICA SAB DE CV 6.0% 25-11-29 |
|
| QATAR GOVERNMENT INTL BOND 4.625% 29-05-29 |
|
| CHILE GOVERNMENT INTL BOND 2.55% 27-07-33 |
|
| PARAGUAY GOVERNMENT INTL BOND 5.85% 21-08-33 |
|
| JORDAN GOVERNMENT INTL BOND 5.85% 07-07-30 |
|
| MEXICO CITY ARPT TRUST 3.875% 30-04-28 |
|
| ANGOLAN GOVERNMENT INTL BOND 9.375% 31-03-33 |
|
| GALA PI 1.75 09-27 |
|
| LD CELULOSE 7.95% 26-01-32 |
|
| MEDCO MAPLE TREE PTE 8.96% 27-04-29 |
|
| HYUNDAI CAPITAL AMERICA 4.5% 18-09-30 |
|
| DEWAN HOUSING FINANCE 7.8% 29-01-28 |
|
| GEORGIAN RAILWAY 4.0% 17-06-28 |
|
| ECOPETROL 6.875% 29-04-30 |
|
| YAPI VE KREDI BANKASI AS 7.55% 11-06-36 |
|
| CFE FIBRA E 5.875% 23-09-40 |
|
| MIRAE ASSET SECURITIES 5.5% 31-07-27 |
|
| ROMANIAN GOVERNMENT INTL BOND 3.0% 14-02-31 |
|
| HUNGARIAN DEVELOPMENT BANK 6.5% 29-06-28 |
|
| SJM INTL 6.5% 15-01-31 |
|
| THAIOIL TREASURY CENTER COMPANY 6.1% PERP |
|
| MAF GLOBAL SECURITIES 5.7477% PERP |
|
| TATA CAPITAL 5.389% 21-07-28 |
|
| METALSA SA DE CV 3.75% 04-05-31 |
|
| POINSETTIA FINANCE 6.625% 17-06-31 |
|
| OMAN GOVERNMENT INTL BOND 6.0% 01-08-29 |
|
| ABU DHABI DEVELOPMENTAL HOLDING COMPANY 5.0% 06-05-35 |
|
| WE SODA INVESTMENTS 9.375% 14-02-31 |
|
| ROMANIAN GOVERNMENT INTL BOND 5.875% 30-01-29 |
|
| IHS 6.25% 29-11-28 |
|
| ANGOLAN GOVERNMENT INTL BOND 8.25% 09-05-28 |
|
| INFRAESTRUCTURA ENERGETICA NOVA SAB DE C 3.75% 14-01-28 |
|
| KUWAIT INTL GOVERNMENT BOND 4.136% 09-10-30 |
|
| Bank Muscat SAOG 4.846% 01-10-30 |
|
| SCOTIABANK PERU SAA 6.1% 01-10-35 |
|
| EGYPT GOVERNEMENT INTL BOND 8.625% 04-02-30 |
|
| NIGERIA GOVERNMENT INTL BOND 8.6308% 13-01-36 |
|
| TENGIZCHEVROIL FINANCE CO INTL 3.25% 15-08-30 |
|
| GMR HYDERABAD INTL AIRPORT 4.25% 27-10-27 |
|
| EAGLE FUNDING LUXCO SARL 5.5% 17-08-30 |
|
| NH INVESTMENT SECURITIES 4.75% 10-07-30 |
|
| MAADEN SUKUK 5.25% 13-02-30 |
|
| ACU PETROLEO LUXEMBOURG SARL 7.5% 13-01-32 |
|
| GALAXY PIPELINE ASSETS BID 1.75% 30-09-27 |
|
| PANAMA GOVERNMENT INTL BOND 3.16% 23-01-30 |
|
| EXPORT CREDIT BANK OF TURKEY 6.375% 03-10-30 |
|
| OCP 6.1% 30-04-30 |
|
| TONG YANG LIFE INSURANCE 6.25% 07-05-35 |
|
| HYUNDAI CAPITAL SERVICES 5.125% 05-02-29 |
|
| TAV HAVALIMANLARI HOLDING AS 8.5% 07-12-28 |
|
| SOCIEDAD DE TRANSMISION AUSTRAL 4.0% 27-01-32 |
|
| NSTITUTO COSTARRICANESE DE ELECTRICIDAD 6.75% 07-10-31 |
|
| WYNN MACAU 5.625% 26-08-28 |
|
| MOROCCO GOVERNMENT INTL BOND 5.95% 08-03-28 |
|
| IVORY COAST GOVERNMENT INT BOND 6.125% 15-06-33 |
|
| COLOMBIA GOVERNMENT INTL BOND 3.875% 25-04-27 |
|
| ISRAEL GOVERNMENT INTL BOND 5.375% 19-02-30 |
|
| FREEPORT INDONESIA PT 4.763% 14-04-27 |
|
| KENYA GOVERNMENT INTL BOND 9.75% 16-02-31 |
|
| MEXICO GOVERNMENT INTL BOND 6.125% 09-02-38 |
|
| TRINIDAD GENERATION UN 7.75% 16-06-33 |
|
| COLOMBIA GOVERNMENT INTL BOND 7.75% 07-11-36 |
|
| BANK BUKOPIN TBK PT 5.658% 30-10-27 |
|
| ALPEK SA DE CV 4.25% 18-09-29 |
|
| MEXICO GENERADORA DE ENERGIA 5.5% 06-12-32 |
|
| PETROLEOS MEXICANOS 6.5% 02-06-41 |
|
| SILK ROAD GROUP HOLDING LLC 7.5% 15-09-30 |
|
| SHRIRAM FINANCE 6.15% 03-04-28 |
|
| CORPORACION INMOBILIARIA VESTA SAB DE CV 3.625% 13-05-31 |
|
| ALPEK SA DE CV 3.25% 25-02-31 |
|
| FWD GROUP 5.252% 22-09-30 EMTN |
|
| GHANA GOVERNMENT INTL BOND 5.0% 03-07-35 |
|
| FAR EAST HORIZON 5.875% 05-03-28 |
|
| HONDURAS GOVERNMENT INTL BOND 8.625% 27-11-34 |
|
| POLARIS INFRASTRUCTURE 9.5% 03-12-29 |
|
| QNB FINANCE 4.875% 30-01-29 |
|
| FIRST ABU DHABI BANK 5.875% PERP |
|
| GREENKO WIND PROJECTS MAURITIUS 7.25% 27-09-28 |
|
| ORBIA ADVANCE CORPORATION SAB DE CV 2.875% 11-05-31 |
|
| DOMINICAN REPUBLIC INTL BOND 6.0% 19-07-28 |
|
| BANCO DEL ESTADO DE CHILE 7.95% PERP |
|
| ANGOLAN GOVERNMENT INTL BOND 8.75% 14-04-32 |
|
| BIOCEANICO SOVEREIGN 0.0% 05-06-34 |
|
| ABU DHABI DEVELOPMENTAL HOLDING COMPANY 5.375% 08-05-29 |
|
| BANK OF GEORGIA 9.5% PERP |
|
| GLOBAL SUKUK VENTURES 4.25% 10-11-35 |
|
| CBQ FINANCE 4.625% 10-09-30 |
|
| TELEFONICA CELULAR DEL PARAGUAY 5.875% 15-04-27 |
|
| GEORGIA GOVERNMENT INTL BOND 5.125% 28-01-31 |
|
| NATL BANK OF ABU DHABI 6.32% 04-04-34 |
|
| OMAN GOVERNMENT INTL BOND 7.375% 28-10-32 |
|
| ABU DHABI CRUDE OIL 3.65% 02-11-29 |
|
| HUARONG FINANCE II 4.875% 22-11-26 |
|
| BIDVEST GROUP UK 6.2% 17-09-32 |
|
| JPM USD Liquidity LV |
|
| GUATEMALA GOVERNMENT BOND 6.55% 06-02-37 |
|
| LATVIA GOVERNMENT INTL BOND 5.125% 30-07-34 |
|
| BANCO NACIONAL DE COMERCIO EXTERIOR SNC 2.72% 11-08-31 |
|
| KAZMUNAIGAZ NATL COMPANY 3.5% 14-04-33 |
|
| OMAN GOVERNMENT INTL BOND 5.625% 17-01-28 |
|
| ABSA GROUP 6.625% 08-06-36 |
|
| MEXICO GOVERNMENT INTL BOND 4.875% 19-05-33 |
|
| BANCA TRANSILVANIA 7.125% PERP |
|
| IVORY COAST GOVERNMENT INT BOND 7.625% 30-01-33 |
|
| OTP BANK 7.5% 25-05-27 EMTN |
|
| KYOBO LIFE INSURANCE 5.9% 15-06-52 |
|
| TVF VARLIK KIRALAMA AS 6.95% 23-01-30 |
|
| MELCO RESORTS FINANCE 5.375% 04-12-29 |
|
| SOC NATLA DE GAZE NATURALE ROMGAZ 4.625% 04-11-31 |
|
| MEXICO GOVERNMENT INTL BOND 6.0% 13-05-30 |
|
| AFRICA FINANCE CORPORATION 5.55% 08-10-29 |
|
| PERU LNG SRL 5.375% 22-03-30 |
|
| HUARONG FINANCE II 4.625% 03-06-26 |
|
| CORPORACION NACIONAL DEL COBRE DE CHILE 5.125% 02-02-33 |
|
| DEVELOPMENT BANK KAZAKHSTAN JSC 4.6% 31-01-31 |
|
| ORAZUL ENERGY PERU 6.25% 17-09-32 |
|
| MUANGTHAI LEASING PCL 7.55% 21-07-30 |
|
| AL RAJHI SUKUK 6.25% PERP EMTN |
|
| TENG FI 3.25 08-30 |
|
| MUTHOOT FINANCE 5.75% 04-08-30 |
|
| DIGICEL INTL FINANCE 8.625% 01-08-32 |
|
| NIGERIA GOVERNMENT INTL BOND 8.375% 24-03-29 |
|
| CHILE ELECTRICITY LUX 6.01% 20-01-33 |
|
| PROVINCE DE CORDOBA 8.6% 03-02-35 |
|
| CAS CAPITAL NO 2 6.25% PERP |
|
| SUCI SEND INVESTMENT 4.875% 08-05-32 |
|
| Mehr anzeigen |
| Name | Prozentsatz |
|---|---|
| KOR |
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| PER |
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| CIV |
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| JEY |
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| AUT |
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| HUN |
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| EGY |
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| HKG |
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| ESP |
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| GTM |
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| QAT |
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| CHL |
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| CZE |
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| USA |
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| HND |
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| ARG |
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| IDN |
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| CYM |
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| VGB |
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| ECU |
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| JOR |
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| SGP |
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| GBR |
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| KEN |
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| AGO |
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| BMU |
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| PAK |
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| NLD |
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| PAN |
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| KAZ |
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| OMN |
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| CAN |
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| MAR |
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| BRA |
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| NGA |
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| TTO |
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| GHA |
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| SUP |
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| DOM |
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| SRB |
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| CRI |
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| LVA |
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| COL |
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| ROU |
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| MEX |
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| LUX |
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| MUS |
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| GEO |
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| TUR |
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| ARE |
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| PRY |
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| THA |
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| SLV |
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| SAU |
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| ISR |
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| IND |
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| UZB |
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| KWT |
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| ZAF |
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Marketingmitteilung. Diese Informationen dienen ausschließlich zu illustrativen Zwecken und können ohne vorherige Ankündigung geändert werden. Obwohl die Informationen zum angegebenen Datum als zuverlässig erachtet werden, wird keine Gewähr für deren Richtigkeit oder Vollständigkeit übernommen. Die hierin enthaltenen Informationen stellen eine Marketingmitteilung dar und sind weder ein Angebot noch eine Aufforderung zum Kauf oder Verkauf eines Finanzinstruments. Für weitere Informationen zum Fonds, insbesondere zu seiner Anlagepolitik, wird auf den Prospekt sowie das Basisinformationsblatt (KID) verwiesen.
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Investmentrechner
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Hinweis zu der unverbindlichen Beispielrechnung:
Dies ist eine Marketingmitteilung. Bitte lesen Sie den Prospekt des onemarkets Fund (der „Fonds“) und das Basisinformationsblatt (KID), bevor Sie endgültige Anlageentscheidungen treffen. Dieser Investmentrechner basiert auf historische Kursdaten. Die Wertentwicklung der Vergangenheit lässt keine Prognose für zukünftige Kursverläufe zu. Kurse können sich in Zukunft sehr unterschiedlich entwickeln. Die hier dargestellte Performance wird nach Abzug laufender Kosten ausgewiesen. Etwaige Ausgabeaufschläge und Rücknahmeabschläge sind von der Berechnung ausgeschlossen. Gebühren und Kosten schmälern die Anlagerendite. Diese Informationen stellen keine verlässliche Prognose, Recherche oder Anlageberatung dar. Sie stellen weder eine Anlageempfehlung noch ein Aufruf zum Kauf/Verkauf von Wertpapieren oder eine Empfehlung einer Anlagestrategie dar. Eine Zusammenfassung der Informationen zu Anlegerrechten sowie den Instrumenten des kollektiven Rechtsschutzes finden Sie in englischer Sprache unter: https://www.invest.unicredit.lu/lu/en/fund-platform.html. Die Verwaltungsgesellschaft kann beschließen, die für den Vertrieb ihrer Organismen für gemeinsame Anlagen gemäß Artikel 93a der Richtlinie 2009/65/EG getroffenen Vereinbarungen zu beenden.













