JPM USD Treasury CNAV D (acc.)
ISIN LU1873132523
WKN A2N8DV
11.446,43 USD (0,01 %)
NAV vom 04.12.2025
11446.429688
11446.429688
| Depotbank | kaufbar | Rabatt | Einmalanlage | Sparplan | VL | kaufen |
|---|---|---|---|---|---|---|
| - - | ab 250,00 € | - - | - - |
Alle Angaben ohne Gewähr.
| Anteilklasse | Währung | Institutionell | Hedged | Ausschüttend | kaufbar | Lfd. Kosten | Fonds öffnen |
|---|---|---|---|---|---|---|---|
| Core (dist.) | USD | - - | |||||
| E (acc.) | USD | - - | |||||
| C (dist.) | USD | - - | |||||
| Agency (dist.) | USD | - - | |||||
| Institutional (dist.) | USD | - - | |||||
| Select (dist.) | USD | - - | |||||
| A (acc.) | USD | - - | |||||
| J (acc.) | USD | - - | |||||
| Morgan (dist.) | USD | - - | |||||
| J (dist.) | USD | - - | |||||
| X (dist.) | USD | - - | |||||
| E (dist.) | USD | - - | |||||
| C (acc.) | USD | - - | |||||
| Select (acc.) | USD | - - | |||||
| D (acc.) | USD | - - | |||||
| W (acc.) | USD | - - | |||||
| Core (acc.) | USD | - - | |||||
| Institutional (acc.) | USD | - - | |||||
| Capital (acc.) | USD | - - | |||||
| Premier (dist.) | USD | - - |