€12,98 9,54% (12m)

CAPITAL GROUP EMERGING MARKETS TOTAL OPPORTUNITIES"B" (EUR) ACC

ISIN: LU0533027347
Nivel de riesgo:
Moneda: EUR (€)
Gestora: CAPITAL GROUP
Gastos corrientes: 1,90%
Fecha valor liquidativo: 01.10.2024
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
CAPITAL GROUP EMERGING MARKETS TOTAL OPPORTUNITIES"B" (EUR) ACC
LU0533027347
LU0533027347
1,90%
9,54%
Buscada
CIF CG EMERGING MARKETS TOTAL OPPORTUNITIES "A7" (GBPHDG) INC
LU0815116081
LU0815116081
Sin Datos
9,41%
CIF CG EMERGING MARKETS TOTAL OPPORTUNITIES "ZL" (CHFHDG) ACC
LU2099824554
LU2099824554
0,80%
9,20%
Más barata
CIF CAPITAL GROUP EMERGING MARKETS TOTAL OPPORTUNITIES "ZGD" (USD) INC
LU0815118707
LU0815118707
1,00%
13,99%
CIF CG EMERGING MARKETS TOTAL OPPORTUNITIES "C" (EUR) ACC
LU0532662409
LU0532662409
Sin Datos
11,40%
CIF CAPITAL GROUP EMERGING MARKETS TOTAL OPPORTUNITIES "Z" (USD) ACC
LU0815118293
LU0815118293
1,00%
15,64%
CAPITAL GROUP EMERGING MARKETS TOTAL OPPORTUNITIES"ZH" (EURHDG) ACC
LU0828134386
LU0828134386
1,10%
11,92%
CIF CAPITAL GROUP EMERGING MARKETS TOTAL OPPORTUNITIES "ZH" (CHFHDG) ACC
LU0828134543
LU0828134543
1,10%
8,96%
CIF CG EMERGING MARKETS TOTAL OPPORTUNITIES "BGDH-EUR" (EURHDG) INC
LU0891472986
LU0891472986
1,90%
9,44%
CIF CAPITAL GROUP EMERGING MARKETS TOTAL OPPORTUNITIES "B" (EUR) INC
LU0533026455
LU0533026455
1,90%
8,37%
CIF CAPITAL GROUP EMERGING MARKETS TOTAL OPPORTUNITIES "ZDH" (GBPHDG) INC
LU0828134899
LU0828134899
1,10%
9,25%
CIF CG EMERGING MARKETS TOTAL OPPORTUNITIES "A9" (USD) ACC
LU1062143521
LU1062143521
Sin Datos
16,01%
CIF CAPITAL GROUP EMERGING MARKETS TOTAL OPPORTUNITIES "ZD" (EUR) INC
LU0828134030
LU0828134030
1,00%
9,17%
CIF CAPITAL GROUP EMERGING MARKETS TOTAL OPPORTUNITIES "ZGDH" (GBPHDG) INC
LU0815118889
LU0815118889
1,10%
8,94%
CIF CAPITAL GROUP EMERGING MARKETS TOTAL OPPORTUNITIES "ZGD" (EUR) INC
LU0815118459
LU0815118459
1,00%
8,89%
CIF CG EMERGING MARKETS TOTAL OPPORTUNITIES "PD" (USD) INC
LU1951435525
LU1951435525
0,90%
14,32%
CIF CG EMERGING MARKETS TOTAL OPPORTUNITIES "C" (USD) ACC
LU0302644280
LU0302644280
Sin Datos
16,67%
CIF CG EMERGING MARKETS TOTAL OPPORTUNITIES "A7" (EUR) ACC
LU0533024914
LU0533024914
Sin Datos
10,67%
CIF CG EMERGING MARKETS TOTAL OPPORTUNITIES "ZL" (GBPHDG) ACC
LU2099824125
LU2099824125
0,80%
10,79%
CAPITAL GROUP EMERGING MARKETS TOTAL OPPORTUNITIES"BH" (EURHDG) ACC
LU0810662568
LU0810662568
1,90%
11,00%
CIF CAPITAL GROUP EMERGING MARKETS TOTAL OPPORTUNITIES "ZH" (GBPHDG) ACC
LU0828134469
LU0828134469
1,10%
10,53%
CIF CAPITAL GROUP EMERGING MARKETS TOTAL OPPORTUNITIES "Z" (GBP) ACC
LU0815117998
LU0815117998
1,00%
6,22%
CIF CAPITAL GROUP EMERGING MARKETS TOTAL OPPORTUNITIES "BH" (CHFHDG) ACC
LU0637577726
LU0637577726
1,90%
7,97%
CIF CAPITAL GROUP EMERGING MARKETS TOTAL OPPORTUNITIES "B" (USD) INC
LU0533026299
LU0533026299
1,90%
13,50%
CIF CG EMERGING MARKETS TOTAL OPPORTUNITIES "ZL" (EURHDG) ACC
LU2099824398
LU2099824398
0,80%
12,29%
CIF CG EMERGING MARKETS TOTAL OPPORTUNITIES "ZL" (USD) ACC
LU2099824471
LU2099824471
0,80%
15,92%
CIF CG EMERGING MARKETS TOTAL OPPORTUNITIES "A9" (EUR) ACC
LU1062143281
LU1062143281
Sin Datos
10,84%
CIF CAPITAL GROUP EMERGING MARKETS TOTAL OPPORTUNITIES "BGD" (EUR HEDGE) INC
LU0815116321
LU0815116321
1,90%
7,91%
CIF CG EMERGING MARKETS TOTAL OPPORTUNITIES "A9" (GBPHDG) INC
LU1062144925
LU1062144925
Sin Datos
9,40%
CIF CAPITAL GROUP EMERGING MARKETS TOTAL OPPORTUNITIES "Z" (EUR) ACC
LU0815117725
LU0815117725
1,00%
10,40%
CIF CAPITAL GROUP EMERGING MARKETS TOTAL OPPORTUNITIES "ZD" (USD) INC
LU0828134204
LU0828134204
1,00%
14,31%
CIF CAPITAL GROUP EMERGING MARKETS TOTAL OPPORTUNITIES "BGD" (USD) INC
LU0815116750
LU0815116750
1,90%
12,96%
CIF CG EMERGING MARKETS TOTAL OPPORTUNITIES "A9" (GBPHDG) ACC
LU1062144412
LU1062144412
Sin Datos
10,91%
CIF CAPITAL GROUP EMERGING MARKETS TOTAL OPPORTUNITIES "B" (USD) ACC
LU0302646574
LU0302646574
1,90%
14,60%
Ver más clases
Datos de rentabilidad calculados a fecha 01/10/2024

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