PIMCO Income Fund E EUR (Hdg) inc II
ISIN IE00BDTM8703
WKN A2N4HQ
8,98 EUR (-0,55 %)
NAV vom 29.08.2024
8.980000
8.980000
Depotbank | kaufbar | Rabatt | Einmalanlage | Sparplan | VL | kaufen |
---|---|---|---|---|---|---|
- - | ab 250,00 € | - - | - - |
Alle Angaben ohne Gewähr.
Anteilklasse | Währung | Institutionell | Hedged | Ausschüttend | kaufbar | Lfd. Kosten | Fonds öffnen |
---|---|---|---|---|---|---|---|
Institutional GBP (Hedged) inc | GBP | 0,55 % | |||||
Inst CHF (Hdg) acc | CHF | 0,55 % | |||||
Adm SGD (Hdg) inc | SGD | 1,05 % | |||||
E HKD (Unhedged) inc | HKD | 1,45 % | |||||
Institutional EUR (Hdg) inc II | EUR | 0,55 % | |||||
Inst USD acc | USD | 0,55 % | |||||
R GBP (Hedged) inc | GBP | 0,80 % | |||||
E EUR (Hedged) inc II Q | EUR | - - | |||||
G Retail EUR (Hedged) inc | EUR | 1,45 % | |||||
E CHF (Hdg) acc | CHF | 1,45 % | |||||
E EUR (Hdg) inc II | EUR | 1,45 % | |||||
Administrative EUR (Hedged) Acc | EUR | 1,05 % | |||||
R USD inc | USD | 0,80 % | |||||
E SGD (Hdg) inc | SGD | 1,45 % | |||||
E USD acc | USD | 1,45 % | |||||
Adm USD inc | USD | 1,05 % | |||||
E EUR (Hdg) acc | EUR | 1,45 % | |||||
Investor EUR Hedged acc | EUR | 0,90 % | |||||
H Institutional USD acc | USD | - - | |||||
Investor EUR Hedged inc | EUR | 0,90 % | |||||
Inst EUR (Hdg) inc | EUR | 0,55 % | |||||
Investor USD inc | USD | 0,90 % | |||||
E EUR (Hdg) inc | EUR | 1,45 % | |||||
Inst USD inc | USD | 0,55 % | |||||
Inst EUR (Hdg) acc | EUR | 0,55 % | |||||
E RMB (Hdg) inc | CNY | 1,45 % | |||||
E USD inc | USD | 1,45 % | |||||
E CHF (Hedged) inc | CHF | 1,45 % |