$12,4 18,21% (12m)

Goldman Sachs Em Markets Debt Pf Base Acc USD (DH)

ISIN: LU0630479375
Nivel de riesgo:
5
Moneda: USD ($)
Gestora: Goldman Sachs
Gastos corrientes: 1,38%
Fecha valor liquidativo: 28.09.2023
Fondo no comercializado por EBN, si lo quiere solicítelo

Comparativa de Costes

Este fondo tiene 68 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
Goldman Sachs Em Markets Debt Pf Base Acc USD (DH)
LU0630479375
LU0630479375
1,38%
18,21%
Buscada
Goldman Sachs Em Markets Debt Pf R GBP-H (DH)
LU0858293862
LU0858293862
0,89%
26,52%
Goldman Sachs Em Markets Debt Pf IO Acc USD
LU0262420705
LU0262420705
0,08%
11,88%
Más barata
Goldman Sachs Em Markets Debt Pf I GBP QDis
LU1481599980
LU1481599980
0,82%
-2,56%
Goldman Sachs Em Markets Debt Pf OCS Acc CHF-H
LU1196340670
LU1196340670
1,40%
5,73%
Goldman Sachs Em Markets Debt Pf IS EUR-H QDis
LU1132077287
LU1132077287
0,51%
8,62%
Goldman Sachs Em Markets Debt Pf RS Acc USD
LU2018823463
LU2018823463
0,66%
11,22%
Goldman Sachs Em Markets Debt Pf I Acc USD
LU0234573185
LU0234573185
0,82%
11,07%
Goldman Sachs Em Markets Debt Pf R USD
LU0830649355
LU0830649355
0,89%
11,06%
Goldman Sachs Em Markets Debt Pf OCS EUR-H
LU0772501077
LU0772501077
1,38%
7,75%
Goldman Sachs Em Markets Debt Pf R Acc EUR-H
LU0858293516
LU0858293516
0,88%
8,20%
Goldman Sachs Em Markets Debt Pf E EUR-H QDis (DH)
LU0637924035
LU0637924035
1,88%
15,07%
Goldman Sachs Em Markets Debt Pf IO Acc JPY-H
LU1472484408
LU1472484408
0,08%
6,01%
Goldman Sachs Em Markets Debt Pf IO Acc GBP-H
LU0350713425
LU0350713425
0,08%
11,06%
Goldman Sachs Em Markets Debt Pf Base Stable MDis
LU1440713441
LU1440713441
1,39%
10,40%
Goldman Sachs Em Markets Debt Pf R GBP-H
LU0849716773
LU0849716773
0,88%
10,08%
Goldman Sachs Em Markets Debt Pf RS EURH
LU2018823547
LU2018823547
0,66%
8,38%
Goldman Sachs Em Markets Debt Pf I Acc JPY-H
LU1619350264
LU1619350264
0,82%
5,22%
Goldman Sachs Em Markets Debt Pf Base USD MDis
LU0616879556
LU0616879556
1,38%
10,38%
Goldman Sachs Em Markets Debt Pf R Acc CHF-H
LU1196340910
LU1196340910
0,88%
6,21%
Goldman Sachs Em Markets Debt Pf I CHF-H QDis
LU1190283702
LU1190283702
0,81%
6,17%
Goldman Sachs Em Markets Debt Pf E EUR-H QDis
LU0618658024
LU0618658024
1,88%
7,18%
Goldman Sachs Em Markets Debt Pf IO USD GMdis
LU1960071485
LU1960071485
0,08%
11,85%
Goldman Sachs Em Markets Debt Pf I USD
LU0129914015
LU0129914015
0,81%
11,05%
Goldman Sachs Em Markets Debt Pf I GBP-H
LU0237682595
LU0237682595
0,81%
10,25%
Goldman Sachs Em Markets Debt Pf A Acc USD
LU1505912524
LU1505912524
1,64%
10,22%
Goldman Sachs Em Markets Debt Pf R Acc EUR
LU0860993814
LU0860993814
0,89%
1,03%
Goldman Sachs Em Markets Debt Pf IS USD
LU2018824198
LU2018824198
0,52%
11,36%
Goldman Sachs Em Markets Debt Pf E Acc EUR-H (DH)
LU0630479532
LU0630479532
1,88%
14,90%
Goldman Sachs Em Markets Debt Pf R Acc USD
LU0830653209
LU0830653209
0,88%
11,00%
Goldman Sachs Em Markets Debt Pf IS Acc EUR-H
LU1725402959
LU1725402959
0,51%
8,54%
Goldman Sachs Em Markets Debt Pf R EUR-H
LU0858293359
LU0858293359
0,88%
8,17%
Goldman Sachs Em Markets Debt Pf E Acc EUR
LU0133266147
LU0133266147
1,89%
-0,04%
Goldman Sachs Em Markets Debt Pf RS Acc EURH
LU2018823620
LU2018823620
0,66%
8,49%
Goldman Sachs Em Markets Debt Pf A USD
LU0122974081
LU0122974081
1,63%
10,15%
Goldman Sachs Em Markets Debt Pf P USD
LU1602484161
LU1602484161
1,12%
10,74%
Goldman Sachs Em Markets Debt Pf Base USD (DH)
LU0630479292
LU0630479292
1,38%
18,34%
Goldman Sachs Em Markets Debt Pf I EUR-H (DH)
LU0883663527
LU0883663527
0,82%
16,09%
Goldman Sachs Em Markets Debt Pf OCS EUR-H MDis
LU1483922933
LU1483922933
1,38%
7,60%
Goldman Sachs Em Markets Debt Pf I Acc EUR-H (DH)
LU0810097591
LU0810097591
0,81%
16,06%
Goldman Sachs Em Markets Debt Pf RS Acc CHFH
LU2018823893
LU2018823893
0,66%
6,49%
Goldman Sachs Em Markets Debt Pf R SGD-H
LU1299706934
LU1299706934
0,88%
9,79%
Goldman Sachs Em Markets Debt Pf E Acc EUR-H
LU0556703741
LU0556703741
1,88%
7,12%
Goldman Sachs Em Markets Debt Pf Base USD GMDis
LU1698128961
LU1698128961
1,39%
10,51%
Goldman Sachs Em Markets Debt Pf IO Acc JPY
LU1477593716
LU1477593716
0,08%
15,60%
Goldman Sachs Em Markets Debt Pf A USD MDis
LU0620232107
LU0620232107
1,63%
10,18%
Goldman Sachs Em Markets Debt Pf IS GBP-H
LU1725403098
LU1725403098
0,51%
10,58%
Goldman Sachs Em Markets Debt Pf I Acc EUR-H
LU0242506524
LU0242506524
0,82%
8,26%
Goldman Sachs Em Markets Debt Pf IS EURH
LU2018824271
LU2018824271
0,51%
8,69%
Goldman Sachs Em Markets Debt Pf RS GBPH
LU2018823976
LU2018823976
0,66%
10,30%
Goldman Sachs Em Markets Debt Pf P Acc USD
LU1602484245
LU1602484245
1,12%
10,71%
Goldman Sachs Em Markets Debt Pf IO USD
LU0262418808
LU0262418808
0,08%
11,94%
Goldman Sachs Em Markets Debt Pf Base Acc USD
LU0234573003
LU0234573003
1,39%
10,41%
Goldman Sachs Em Markets Debt Pf OCS SGDH StableMD
LU1439553899
LU1439553899
1,38%
9,27%
Goldman Sachs Em Markets Debt Pf Base Acc EUR-H
LU0262418394
LU0262418394
1,38%
7,59%
Goldman Sachs Em Markets Debt Pf IO Acc EUR-H
LU1382385802
LU1382385802
0,08%
9,05%
Goldman Sachs Em Markets Debt Pf IS Acc CHFH
LU2018824354
LU2018824354
0,53%
6,73%
Goldman Sachs Em Markets Debt Pf OCS HKD-H MDis
LU1483923071
LU1483923071
1,38%
9,19%
Goldman Sachs Em Markets Debt Pf I Acc CHF-H
LU1320171744
LU1320171744
0,82%
6,38%
Goldman Sachs Em Markets Debt Pf I Gross QDis EURH
LU1380333846
LU1380333846
0,81%
-0,81%
Goldman Sachs Em Markets Debt Pf IS Acc USD
LU1725403254
LU1725403254
0,52%
11,38%
Goldman Sachs Em Markets Debt Pf OCS Acc EURH (DH)
LU0630479458
LU0630479458
1,39%
15,53%
Goldman Sachs Em Markets Debt Pf I USD (DH)
LU1258413092
LU1258413092
0,82%
18,86%
Goldman Sachs Em Markets Debt Pf A Acc PLN-H
LU1204194127
LU1204194127
1,63%
13,73%
Goldman Sachs Em Markets Debt Pf IX USD MDis(Snap)
LU0316758555
LU0316758555
0,82%
10,90%
Goldman Sachs Em Markets Debt Pf I EUR-H
LU0265107754
LU0265107754
0,81%
8,36%
Goldman Sachs Em Markets Debt Pf RS USD
LU2018823380
LU2018823380
0,66%
11,20%
Goldman Sachs Em Markets Debt Pf Base USD
LU0110449138
LU0110449138
1,39%
10,45%
Ver más clases
Datos de rentabilidad calculados a fecha 28/09/2023

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