€11,59 13,85% (12m)

BGF EMERGING MARKETS BOND "I2" (EURHDG) ACC

ISIN: LU1057294727
Nivel de riesgo:
Moneda: EUR (€)
Gestora: BLACKROCK
Gastos corrientes: 0,71%
Fecha valor liquidativo: 16.07.2024
Fondo no comercializado por EBN, si lo quiere solicítelo

Comparativa de Costes

Este fondo tiene 41 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
BGF EMERGING MARKETS BOND "I2" (EURHDG) ACC
LU1057294727
LU1057294727
0,71%
13,85%
Buscada
BGF EMERGING MARKETS BOND "A4" (EUR) INC
LU1072326561
LU1072326561
1,47%
18,78%
BGF EMERGING MARKETS BOND "C1" (USD) INC
LU0200681327
LU0200681327
2,71%
13,78%
BGF EMERGING MARKETS BOND "I2" (GBPHDG) ACC
LU1806518533
LU1806518533
0,68%
15,43%
BGF EMERGING MARKETS BOND "A1" (EUR) INC
LU0200683703
LU0200683703
1,47%
18,76%
BGF EMERGING MARKETS BOND "C2" (USD) ACC
LU0200681673
LU0200681673
2,71%
13,79%
BGF EMERGING MARKETS BOND "D3" (USD) INC
LU0827876821
LU0827876821
0,87%
16,02%
BGF EMERGING MARKETS BOND "X2" (EUR) ACC
LU0988581723
LU0988581723
0,06%
20,64%
Más barata
BGF EMERGING MARKETS BOND "A8" (CNYHDG) INC
LU1919856051
LU1919856051
1,47%
15,46%
BGF EMERGING MARKETS BOND "D3" (EUR) INC
LU0827877126
LU0827877126
0,87%
19,67%
BGF EMERGING MARKETS BOND "A" (GBPHDG) INC
LU1408527916
LU1408527916
1,47%
14,66%
BGF EMERGING MARKETS BOND "A6" (HKDHGD) INC
LU0764619960
LU0764619960
1,47%
14,11%
BGF EMERGING MARKETS BOND "D2" ACC
LU0297941386
LU0297941386
0,87%
15,93%
BGF EMERGING MARKETS BOND "A2" (GBPHDG) ACC
LU1057296771
LU1057296771
1,47%
14,56%
BGF EMERGING MARKETS BOND "X2" (USD) ACC
LU0200682721
LU0200682721
0,06%
16,87%
BGF EMERGING MARKETS BOND "X2" (EURHDG) ACC
LU0343170543
LU0343170543
0,06%
17,88%
BGF EMERGING MARKETS BOND "E2" (EUR HDG) ACC
LU1062842882
LU1062842882
1,97%
12,47%
BGF EMERGING MARKETS BOND "E2" ACC
LU0200681830
LU0200681830
1,97%
14,69%
BGF EMERGING MARKETS BOND "A8" (AUD HDG) INC
LU0871639893
LU0871639893
1,47%
13,55%
BGF EMERGING MARKETS BOND "I4" (USD) INC
LU1806518293
LU1806518293
0,71%
16,14%
BGF EMERGING MARKETS BOND "A" (CZK) ACC
LU1791181735
LU1791181735
1,47%
26,74%
BGF EMERGING MARKETS BOND "I" (EUR) ACC
LU1048586868
LU1048586868
0,71%
19,79%
BGF EMERGING MARKETS BOND "D2" (EUR) ACC
LU0827877043
LU0827877043
0,87%
19,74%
BGF EMERGING MARKETS BOND "A8" (ZARHDG) INC
LU1109561420
LU1109561420
1,47%
18,23%
BGF EMERGING MARKETS BOND "I4" (GBPHDG) INC
LU2075910922
LU2075910922
0,68%
18,77%
BGF EMERGING MARKETS BOND "A2" (EUR) ACC
LU0200683885
LU0200683885
1,47%
18,89%
BGF EMERGING MARKETS BOND "A1" (USD) INC
LU0200680436
LU0200680436
1,47%
15,23%
BGF EMERGING MARKETS BOND "I" (EURHDG) INC
LU1323999216
LU1323999216
0,71%
13,88%
BGF EMERGING MARKETS BOND "I" (USD) ACC A
LU1180455567
LU1180455567
0,71%
19,52%
BGF EMERGING MARKETS BOND "A6" (USD) INC
LU0764617162
LU0764617162
1,47%
15,25%
BGF EMERGING MARKETS BOND "A3" (USD) INC
LU0200680782
LU0200680782
1,47%
15,35%
BGF EMERGING MARKETS BOND "A" (NZDHDG) INC
LU1408528138
LU1408528138
1,47%
18,08%
BGF EMERGING MARKETS BOND "A" (CADHDG) INC
LU1408528054
LU1408528054
1,47%
14,47%
BGF EMERGING MARKETS BOND "E5" (EUR HDG) INC
LU1062842965
LU1062842965
1,97%
15,61%
BGF EMERGING MARKETS BOND "D2" (EURHDG) ACC
LU0827877399
LU0827877399
0,87%
13,74%
BGF EMERGING MARKETS BOND "I" (CHFHDG) ACC
LU1618350562
LU1618350562
0,69%
11,35%
BGF EMERGING MARKETS BOND "I4" (EURHDG) INC
LU2075911060
LU2075911060
0,70%
13,84%
BGF EMERGING MARKETS BOND "A2" (EUR HDG) ACC
LU0413376566
LU0413376566
1,47%
13,07%
BGF EMERGING MARKETS BOND "A3" (EUR) INC
LU0200684008
LU0200684008
1,47%
18,83%
BGF EMERGING MARKETS BOND "E2" (EUR) ACC
LU0200684180
LU0200684180
1,97%
18,27%
BGF EMERGING MARKETS BOND "A2" ACC
LU0200680600
LU0200680600
1,47%
15,26%
Ver más clases
Datos de rentabilidad calculados a fecha 16/07/2024

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