Franklin Global Convertible Securities Fund I (acc) USD
ISIN LU0727122698
WKN A1JTUV
26,09 USD (0,12 %)
NAV vom 13.01.2025
26.090000
26.090000
Depotbank | kaufbar | Rabatt | Einmalanlage | Sparplan | VL | kaufen |
---|---|---|---|---|---|---|
Fonds nicht kaufbar |
Anteilklasse | Währung | Institutionell | Hedged | Ausschüttend | kaufbar | Lfd. Kosten | Fonds öffnen |
---|---|---|---|---|---|---|---|
A (Ydis) EUR-H1 | EUR | - - | |||||
N (acc) EUR | EUR | - - | |||||
I (acc) EUR | EUR | - - | |||||
A (acc) EUR | EUR | - - | |||||
I (acc) USD | USD | - - | |||||
W (acc) EUR-H1 | EUR | - - | |||||
A (acc) EUR-H1 | EUR | - - | |||||
A (acc) USD | USD | - - | |||||
A (Ydis) EUR | EUR | - - | |||||
W (acc) USD | USD | - - | |||||
N (acc) USD | USD | - - | |||||
A (acc) CHF-H1 | CHF | - - |