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Emirates NBD SICAV - Emirates Mena Fixed Income Fund B EUR Inc Fonds 32662212 / LU1317401310

6.90 EUR
0.02 EUR
0.24 %
28.11.2024
NAV

Nettoinventarwert (NAV)

6.90 EUR 0.02 EUR 0.24 %
Vortag 6.88 EUR Datum 28.11.2024

Emirates NBD SICAV - Emirates Mena Fixed Income Fund B EUR Inc Fonds Kurs - 1 Jahr

  • 1W
  • 3M
  • 1J
  • 3J
  • 5J
  • MAX

Top Kryptowährungen ETPs

Name ISIN Performance
21Shares Stellar ETP CH1109575535 423.71%
21Shares Sui Staking ETP CH1360612159 250.96%
21Shares Stacks Staking ETP CH1258969042 227.84%
21Shares Cardano ETP CH1102728750 182.07%
21Shares Ripple XRP ETP CH0454664043 150.59%
21Shares Algorand ETP CH1146882316 124.41%
21Shares Injective Staking ETP CH1360612134 18.63%
21Shares Immutable ETP CH1360612142 8.49%
Name ISIN Performance
21Shares Stellar ETP CH1109575535 355.85%
21Shares Ripple XRP ETP CH0454664043 176.91%
21Shares Stacks Staking ETP CH1258969042 145.10%
21Shares Cardano ETP CH1102728750 122.26%
21Shares Aave ETP CH1135202120 102.52%
Name ISIN Performance
21Shares Solana staking ETP CH1114873776 355.16%
21Shares Stellar ETP CH1109575535 329.91%
21Shares Fantom ETP CH1168929078 251.54%
21Shares Staking Basket Index ETP CH1210548892 185.00%
21Shares Crypto Basket Equal Weight (HODLV) ETP CH1135202161 179.23%
Name ISIN Performance
21Shares Solana staking ETP CH1114873776 1’665.59%
21Shares Bitcoin Core ETP CH1199067674 477.23%
21Shares Bitcoin ETP CH0454664001 462.61%
21Shares Fantom ETP CH1168929078 448.77%
21Shares Stellar ETP CH1109575535 438.41%

Fundamentaldaten

Valor 32662212
ISIN LU1317401310
Emittent Emirates NBD Asset Management
Aufgelegt in Luxembourg
Auflagedatum 19.05.2016
Kategorie Anleihen Sonstige
Währung EUR
Volumen 171’028’664.99
Depotbank State Street Bank International GmbH, Luxembourg Branch
Geschäftsjahresende 31.03.
Berichtsstand 07.11.2024

Anlagepolitik

So investiert der Emirates NBD SICAV - Emirates Mena Fixed Income Fund B EUR Inc Fonds: The Sub‐Fund will aim to achieve a high level of income as well as capital growth, predominantly through a diversified portfolio of Middle East and North Africa (MENA) debt securities of varying maturities along with cash and cash equivalent instruments such as money market funds with efficient portfolio management. The Sub‐Fund may also take on exposure to issuers outside the MENA region. Additionally, certain share classes of the Sub‐Fund will also distribute income on a quarterly basis. Declarations of distribution will be made at the end of March, end of June, end of September & December of each year. The Sub‐Fund is managed actively and uses the JP Morgan MECI GCC Total Return index as a universe to select securities from. The possible deviation of the portfolio composition of the Sub‐Fund compared to the benchmark is material.

ETP Performance: Emirates NBD SICAV - Emirates Mena Fixed Income Fund B EUR Inc Fonds

Performance 1 Jahr
7.55
Performance 2 Jahre
7.57
Performance 3 Jahre
-8.87
Performance 5 Jahre
-3.39
Performance 10 Jahre -