A$55,1669 -1,15% (12m)

SCHRODER ISF EMERGING MARKETS DEBT TOTAL RETURN "A1" (AUDHDG) INC MF

ISIN: LU0502009730
Nivel de riesgo:
Moneda: AUD (A$)
Gestora: SCHRODERS
Gastos corrientes: 2,29%
Fecha valor liquidativo: 18.12.2024
Fondo no comercializado por EBN, si lo quiere solicítelo

Comparativa de Costes

Este fondo tiene 34 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
SCHRODER ISF EMERGING MARKETS DEBT TOTAL RETURN "A1" (AUDHDG) INC MF
LU0502009730
LU0502009730
2,29%
-1,15%
Buscada
SCHRODER ISF EMERGING MARKETS DEBT TOTAL RETURN "A" (AUDHDG) ACC
LU0491680806
LU0491680806
1,89%
-0,68%
SCHRODER ISF EMERGING MARKETS DEBT TOTAL RETURN"B" ACC
LU0106253270
LU0106253270
2,38%
0,03%
SCHRODER ISF EMERGING MARKETS DEBT TOTAL RETURN "C" (GBPHDG) INC AV
LU0218201134
LU0218201134
1,24%
0,78%
SCHRODER ISF EMERGING MARKETS DEBT ABSOLUTE RETURN "A1" (EURHDG) INC MF
LU0186876156
LU0186876156
2,29%
-1,37%
SCHRODER ISF EMERGING MARKETS DEBT TOTAL RETURN "I" (EURHDG) ACC
LU0177222477
LU0177222477
0,08%
0,53%
Más barata
SCHRODER ISF EMERGING MARKETS DEBT TOTAL RETURN "A1" (PLNHDG) ACC
LU0455362383
LU0455362383
2,29%
0,34%
SCHRODER ISF EMERGING MARKETS DEBT TOTAL RETURN "C" (CNYHDG) ACC
LU1785814143
LU1785814143
1,24%
-1,66%
SCHRODER ISF EMERGING MARKETS DEBT ABSOLUTE RETURN "A1" (USD) INC MF
LU0160363585
LU0160363585
2,28%
0,13%
SCHRODER ISF EMERGING MARKETS DEBT TOTAL RETURN "I" (USD) ACC
LU0134334290
LU0134334290
0,10%
2,34%
SCHRODER ISF EMERGING MARKETS DEBT TOTAL RETURN "IZ" (USD) ACC
LU1870390371
LU1870390371
0,85%
1,71%
SCHRODER ISF EMERGING MARKETS DEBT TOTAL RETURN "A" (EURHDG) ACC
LU0177592218
LU0177592218
1,89%
-1,27%
SCHRODER ISF EMERGING MARKETS DEBT TOTAL RETURN "C" (EUR) ACC
LU0998387103
LU0998387103
1,23%
5,32%
SCHRODER ISF EMERGING MARKETS DEBT TOTAL RETURN "C" (CHF HDG) ACC
LU0476445423
LU0476445423
1,24%
-3,08%
SCHRODER ISF EMERGING MARKETS DEBT TOTAL RETURN "C" (JPYHDG) INC SV
LU0697816758
LU0697816758
1,24%
-4,33%
SCHRODER ISF EMERGING MARKETS DEBT ABSOLUT RETURN "A" (GBPHDG) INC AV
LU0218201050
LU0218201050
1,89%
0,12%
SCHRODER ISF EMERGING MARKETS DEBT TOTAL RETURN "I" (GBPHDG) ACC
LU0218201217
LU0218201217
0,08%
1,94%
SCHRODER ISF EMERGING MARKETS DEBT TOTAL RETURN "C" (EURHDG) INC AV
LU0546251033
LU0546251033
1,24%
-0,63%
SCHRODER ISF EMERGING MARKETS DEBT TOTAL RETURN "A1" ACC
LU0133705839
LU0133705839
2,28%
0,13%
SCHRODER ISF EMERGING MARKETS DEBT ABSOLUTE RETURN"A" (USD) INC QF
LU0080733339
LU0080733339
1,88%
0,53%
SCHRODER ISF EMERGING MARKETS DEBT TOTAL RETURN"B" (USD) INC QF
LU0080735201
LU0080735201
2,38%
0,03%
SCHRODER ISF EMERGING MARKETS DEBT TOTAL RETURN "A1" (EUR HDG) ACC
LU0186875935
LU0186875935
2,29%
-1,66%
SCHRODER ISF EMERGING MARKETS DEBT TOTAL RETURN "C" (SEKHDG) ACC
LU1725190323
LU1725190323
1,24%
-0,86%
SCHRODER ISF EMERGING MARKETS DEBT TOTAL RETURN"C" ACC
LU0106253437
LU0106253437
1,23%
1,18%
SCHRODER ISF EMERGING MARKETS DEBT TOTAL RETURN "IZ" (EURHDG) ACC
LU1496798395
LU1496798395
0,83%
-0,22%
SCHRODER ISF EMERGING MARKETS DEBT TOTAL RETURN "A" (SEK HDG) ACC
LU0665709241
LU0665709241
1,89%
-1,46%
SCHRODER ISF EMERGING MARKETS DEBT TOTAL RETURN "B" (EURHDG) ACC
LU0177222121
LU0177222121
2,39%
-1,76%
SCHRODER ISF EMERGING MARKETS DEBT TOTAL RETURN"A" (SGDHDG) INC QF
LU0372678564
LU0372678564
1,89%
-1,47%
SCHRODER ISF EMERGING MARKETS DEBT TOTAL RETURN "B" (EURHDG) INC QV
LU0587553891
LU0587553891
2,39%
-1,78%
SCHRODER ISF EMERGING MARKETS DEBT ABSOLUTE RETURN "A" (EURHDG) INC QF
LU0499925211
LU0499925211
1,89%
-1,29%
SCHRODER ISF EMERGING MARKETS DEBT TOTAL RETURN"C" (EURHDG) ACC
LU0177222394
LU0177222394
1,24%
-0,64%
SCHRODER ISF EMERGING MARKETS DEBT TOTAL RETURN "A" (CHF HDG) ACC
LU0476445340
LU0476445340
1,89%
-3,70%
SCHRODER ISF EMERGING MARKETS DEBT TOTAL RETURN"C" (USD) INC AV
LU0080735540
LU0080735540
1,23%
1,18%
SCHRODER ISF EMERGING MARKETS DEBT TOTAL RETURN"A" ACC
LU0106253197
LU0106253197
1,88%
0,53%
Ver más clases
Datos de rentabilidad calculados a fecha 18/12/2024

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