$9,54 9,83% (12m)

PGIF PREFERRED SECURITIES "P" (USD) INC

ISIN: IE00B7FSX311
Nivel de riesgo:
Moneda: USD ($)
Gestora: PRINCIPAL
Gastos corrientes: 0,89%
Fecha valor liquidativo: 17.12.2024
Fondo no comercializado por EBN, si lo quiere solicítelo

Comparativa de Costes

Este fondo tiene 43 clases disponibles para la comercialización en España con diferentes Gastos Corrientes. Busque la suya por el ISIN, encuentre la más barata y empiece ahorrar.

ISIN
Gastos Corrientes
Rent. 1 año
PGIF PREFERRED SECURITIES "P" (USD) INC
IE00B7FSX311
IE00B7FSX311
0,89%
9,83%
Buscada
PRINCIPAL PREFERRED SECURITIES "A" ACC
IE0032590923
IE0032590923
1,09%
9,62%
PRINCIPAL PREFERRED SECURITIES "I" ACC
IE0032591004
IE0032591004
0,44%
10,33%
Más barata
PRINCIPAL PREFERRED SECURITIES "A" (CHFHDG) ACC
IE00B6824L80
IE00B6824L80
1,11%
5,15%
PGIF PREFERRED SECURITIES "N" (CHFHDG) ACC
IE00BD0Q9129
IE00BD0Q9129
0,71%
5,70%
PRINCIPAL PREFERRED SECURITIES "F" (USD) INC
IE00B44XF072
IE00B44XF072
1,89%
8,73%
PRINCIPAL PREFERRED SECURITIES "I" (JPYHDG) INC
IE00B5SK4K43
IE00B5SK4K43
0,46%
4,32%
PRINCIPAL PREFERRED SECURITIES "I" (CHFHDG) INC
IE00B3M9JQ41
IE00B3M9JQ41
0,46%
5,81%
PRINCIPAL PREFERRED SECURITIES "A" (SGDHDG) ACC
IE00BYPB7P98
IE00BYPB7P98
1,11%
7,64%
PRINCIPAL PREFERRED SECURITIES "D" (USD) INC
IE00B45QYL94
IE00B45QYL94
1,39%
9,23%
PRINCIPAL PREFERRED SECURITIES "N" (USD) ACC
IE00BD0Q8V55
IE00BD0Q8V55
0,69%
10,08%
PRINCIPAL PREFERRED SECURITIES "D" (USD) ACC
IE00B3CCBJ05
IE00B3CCBJ05
1,39%
9,26%
PRINCIPAL PREFERRED SECURITIES "A" (SGDHDG) INC
IE00BZBWH539
IE00BZBWH539
1,11%
7,72%
PGIF PREFERRED SECURITIES "D2" (USD) INC A
IE00BJLTX873
IE00BJLTX873
1,39%
9,36%
PGIF PREFERRED SECURITIES "D2" (USD) INC
IE00BYM2LQ48
IE00BYM2LQ48
1,39%
9,79%
PGIF PREFERRED SECURITIES "P" (USD) ACC
IE00B7F83F33
IE00B7F83F33
0,89%
9,80%
PRINCIPAL PREFERRED SECURITIES "A" (EUR HDG) ACC
IE00B00Z9M92
IE00B00Z9M92
1,11%
7,85%
PGIF PREFERRED SECURITIES "N" (GBPHDG) ACC
IE00BD0Q8Z93
IE00BD0Q8Z93
0,71%
9,70%
PRINCIPAL PREFERRED SECURITIES "N" (EURHDG) ACC
IE00BD0Q8X79
IE00BD0Q8X79
0,71%
8,31%
PRINCIPAL PREFERRED SECURITIES "I" (USD) INC
IE00B96S2C60
IE00B96S2C60
0,44%
10,31%
PRINCIPAL PREFERRED SECURITIES "I" (EUR HDG) ACC
IE00B2NGJY51
IE00B2NGJY51
0,46%
8,65%
PGIF PREFERRED SECURITIES "F2" (USD) ACC
IE00BZBWH190
IE00BZBWH190
2,34%
8,73%
PRINCIPAL PREFERRED SECURITIES "I" (AUDHDG) INC
IE00B2NGK318
IE00B2NGK318
0,46%
9,13%
PRINCIPAL PREFERRED SECURITIES "A" (CHFHDG) INC
IE00B3S4M753
IE00B3S4M753
1,11%
5,13%
PRINCIPAL PREFERRED SECURITIES "A" (JPYHDG) ACC
IE00BZBWH422
IE00BZBWH422
1,11%
3,68%
PRINCIPAL PREFERRED SECURITIES "I" (GBP HDG) INC
IE00B2NGK201
IE00B2NGK201
0,46%
10,13%
PGIF PREFERRED SECURITIES "N" (USD) INC
IE00BD0Q8W62
IE00BD0Q8W62
0,69%
9,97%
PRINCIPAL PREFERRED SECURITIES "I" (EURHDG) INC
IE00B61TKZ25
IE00B61TKZ25
0,46%
8,58%
PGIF PREFERRED SECURITIES "N" (GBPHDG) INC
IE00BD0Q9012
IE00BD0Q9012
0,71%
9,67%
PRINCIPAL PREFERRED SECURITIES "A" (EURHDG) INC
IE00B3SPD311
IE00B3SPD311
1,11%
8,01%
PGIF PREFERRED SECURITIES "I" (USDHGD) ACC
IE00BFNQRL92
IE00BFNQRL92
0,46%
-8,37%
PRINCIPAL PREFERRED SECURITIES "I" (JPYHEDGED) ACC
IE00B5KPPF97
IE00B5KPPF97
0,46%
4,41%
PRINCIPAL PREFERRED SECURITIES "I" (SGDHDG) INC
IE00BZBWH752
IE00BZBWH752
0,46%
8,31%
PRINCIPAL PREFERRED SECURITIES "I" (AUDHDG) ACC
IE00B2NGK425
IE00B2NGK425
0,46%
4,67%
PRINCIPAL PREFERRED SECURITIES "N" (EURHDG) INC
IE00BD0Q8Y86
IE00BD0Q8Y86
0,71%
8,40%
PRINCIPAL PREFERRED SECURITIES "F" (USD) ACC
IE00B3C9X393
IE00B3C9X393
1,89%
8,68%
PRINCIPAL PREFERRED SECURITIES "I" (CHFHDG) ACC
IE00B63L3Z75
IE00B63L3Z75
0,46%
5,85%
PGIF PREFERRED SECURTIES "D2" (HKD) INC
IE00BFNQRS61
IE00BFNQRS61
1,39%
9,33%
PGIF PREFERRED SECURITIES "A" (AUDHDG) INC
IE00BF7PKY65
IE00BF7PKY65
1,11%
8,55%
PRINCIPAL PREFERRED SECURITIES "A" (GBP HDG) INC
IE00B2NGK193
IE00B2NGK193
1,11%
9,27%
PGIF PREFERRED SECURITIES "I" (SGDHDG) ACC
IE00BZBWH646
IE00BZBWH646
0,46%
8,39%
PGIF PREFERRED SECURITIES "D2" (HKD) INC A
IE00BJLTX980
IE00BJLTX980
1,39%
8,85%
PRINCIPAL PREFERRED SECURITIES "A" INC
IE00B067MS69
IE00B067MS69
1,09%
9,57%
Ver más clases
Datos de rentabilidad calculados a fecha 17/12/2024

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