€40,4 -14,53% (12m)

BGF Global Allocation A2 EUR Hedged

ISIN: LU0212925753
Nivel de riesgo:
5
Moneda: EUR (€)
Gestora: BlackRock (Lux) SA
Gastos corrientes: 1,77%
Fecha valor liquidativo: 04.08.2022
Fondo no comercializado por EBN, si lo quiere solicítelo

Comparativa de Costes

Este fondo tiene 45 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 Global Allocation A2 EUR Hedged
LU0212925753
LU0212925753
1,77%
-14,53%
Buscada
BGF Global Allocation A2 HUF
LU0566074125
LU0566074125
1,77%
12,37%
BGF Global Allocation I2 SGD Hedged
LU0810842038
LU0810842038
0,80%
-12,98%
BGF Global Allocation X2 EUR Hedged
LU0260352280
LU0260352280
0,09%
-13,22%
BGF Global Allocation A2 CHF Hedged
LU0343169966
LU0343169966
1,77%
-14,61%
BGF Global Allocation X4 USD
LU0953392981
LU0953392981
0,06%
-11,56%
Más barata
BGF Global Allocation D2 SGD Hedged
LU0827880690
LU0827880690
1,02%
-12,79%
BGF Global Allocation X2 AUD Hedged
LU0525289509
LU0525289509
0,06%
-12,60%
BGF Global Allocation A4 EUR Hedged
LU0240613025
LU0240613025
1,77%
-14,71%
BGF Global Allocation E2 USD
LU0147396450
LU0147396450
2,27%
-13,46%
BGF Global Allocation A9G SGD Hgd
LU2354320645
LU2354320645
1,79%
-13,40%
BGF Global Allocation X2 USD
LU0328507826
LU0328507826
0,06%
-11,54%
BGF Global Allocation D2 GBP Hedged
LU0827880344
LU0827880344
1,02%
-13,15%
BGF Global Allocation C2 EUR Hedged
LU0212926058
LU0212926058
3,02%
-15,76%
BGF Global Allocation E2 EUR Hedged
LU0212926132
LU0212926132
2,27%
-15,14%
BGF Global Allocation A4 EUR
LU0408221512
LU0408221512
1,77%
-0,09%
BGF Global Allocation C2 EUR
LU0331284793
LU0331284793
3,02%
-1,33%
BGF Global Allocation D2 EUR Hedged
LU0329591480
LU0329591480
1,02%
-14,07%
BGF Global Allocation A9G USD
LU2354320561
LU2354320561
1,80%
-13,00%
BGF Global Allocation A2 PLN Hedged
LU0480534592
LU0480534592
1,77%
-12,32%
BGF Global Allocation I2 USD
LU0368249560
LU0368249560
0,81%
-12,21%
BGF Global Allocation I2 EUR Hedged
LU0368231949
LU0368231949
0,81%
-13,88%
BGF Global Allocation A4 USD
LU0724617625
LU0724617625
1,77%
-13,05%
BGF Global Allocation D4 GBP
LU1852330908
LU1852330908
1,02%
0,30%
BGF Global Allocation D4 EUR Hedged
LU0827880773
LU0827880773
1,02%
-14,07%
BGF Global Allocation D2 EUR
LU0523293024
LU0523293024
1,02%
0,64%
BGF Global Allocation A2 GBP Hedged
LU0236177068
LU0236177068
1,77%
-13,78%
BGF Global Allocation E2 EUR
LU0171283533
LU0171283533
2,27%
-0,60%
BGF Global Allocation D2 AUD Hedged
LU0827880187
LU0827880187
1,02%
-13,44%
BGF Global Allocation D2 PLN Hedged
LU0827880427
LU0827880427
1,02%
-11,65%
BGF Global Allocation A9G AUD Hgd
LU2354320728
LU2354320728
1,78%
-14,11%
BGF Global Allocation X2 EUR
LU0984173384
LU0984173384
0,06%
1,62%
BGF Global Allocation D4 EUR
LU0827880005
LU0827880005
1,02%
0,64%
BGF Global Allocation A2 SGD Hedged
LU0308772762
LU0308772762
1,77%
-13,46%
BGF Global Allocation I2 EUR
LU1653088838
LU1653088838
0,81%
0,86%
BGF Global Allocation D2 USD
LU0329592538
LU0329592538
1,02%
-12,39%
BGF Global Allocation E2 PLN Hedged
LU0530192003
LU0530192003
2,27%
-12,71%
BGF Global Allocation X2 JPY Hedged
LU1445720094
LU1445720094
0,07%
-12,34%
BGF Global Allocation D2 CHF Hedged
LU0827880260
LU0827880260
1,02%
-13,90%
BGF Global Allocation A2 CNH Hedged
LU1062906877
LU1062906877
1,78%
-11,49%
BGF Global Allocation A2 EUR
LU0171283459
LU0171283459
1,77%
-0,11%
BGF Global Allocation A2 AUD Hedged
LU0468326631
LU0468326631
1,77%
-14,09%
BGF Global Allocation C2 USD
LU0147395726
LU0147395726
3,02%
-14,13%
BGF Global Allocation A2 HKD Hedged
LU0788109477
LU0788109477
1,77%
-13,51%
BGF Global Allocation A2 USD
LU0072462426
LU0072462426
1,77%
-13,04%
Ver más clases
Datos de rentabilidad calculados a fecha 04/08/2022

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