JPM Global Convertibles (EUR) I (dist) - EUR
ISIN LU0973523722
WKN A1W5WJ
103,42 EUR (0,55 %)
NAV vom 15.01.2025
103.419998
103.419998
Depotbank | kaufbar | Rabatt | Einmalanlage | Sparplan | VL | kaufen |
---|---|---|---|---|---|---|
Fonds nicht kaufbar |
Anteilklasse | Währung | Institutionell | Hedged | Ausschüttend | kaufbar | Lfd. Kosten | Fonds öffnen |
---|---|---|---|---|---|---|---|
JPM A (acc) - EUR | EUR | - - | |||||
A (acc) - USD (hedged) | USD | - - | |||||
I (acc) - USD (hedged) | USD | - - | |||||
JPM C (dist) - GBP (hedged) | GBP | - - | |||||
I (dist) - EUR | EUR | - - | |||||
JPM C (acc) - EUR | EUR | - - | |||||
JPM A (dist) - EUR | EUR | - - | |||||
JPM A (acc) - CHF (hedged) | CHF | - - | |||||
JPM D (acc) - EUR | EUR | - - | |||||
I2 (acc) - EUR | EUR | - - | |||||
JPM I (acc) - EUR | EUR | - - | |||||
C (dist) - USD | USD | - - | |||||
JPM X (dist) - GBP (hedged) | GBP | - - | |||||
JPM A (dist) - USD | USD | - - | |||||
C (acc) - USD (hedged) | USD | - - | |||||
JPM X (acc) - EUR | EUR | - - | |||||
JPM A (dist) - GBP (hedged) | GBP | - - | |||||
C (dist) - EUR | EUR | - - | |||||
JPM C (acc) - CHF (hedged) | CHF | - - |