€6,33 -4,13% (12m)

Goldman Sachs Em Mkts Debt Local Pf E Quarterly

ISIN: LU0616879804
Nivel de riesgo:
4
Moneda: EUR (€)
Gestora: Goldman Sachs
Gastos corrientes: 2,02%
Fecha valor liquidativo: 28.11.2022
Fondo no comercializado por EBN, si lo quiere solicítelo

Comparativa de Costes

Este fondo tiene 27 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 Mkts Debt Local Pf E Quarterly
LU0616879804
LU0616879804
2,02%
-4,13%
Buscada
Goldman Sachs Em Mkts Debt Local Pf P Acc USD
LU0302289524
LU0302289524
1,40%
-11,02%
Goldman Sachs Em Mkts Debt Local Pf IO USDGMdis
LU1960071568
LU1960071568
0,11%
-9,79%
Más barata
Goldman Sachs Em Mkts Debt Local Pf R GBP
LU0849716856
LU0849716856
0,87%
-0,71%
Goldman Sachs Em Mkts Debt Local Pf E EUR
LU0302284566
LU0302284566
2,02%
-4,24%
Goldman Sachs Em Mkts Debt Local Pf R EUR
LU0858294084
LU0858294084
0,87%
-3,13%
Goldman Sachs Em Mkts Debt Local Pf Base Monthly
LU0616879713
LU0616879713
1,77%
-11,33%
Goldman Sachs Em Mkts Debt Local Pf R USD
LU0830656137
LU0830656137
0,87%
-10,58%
Goldman Sachs Em Mkts Debt Local Pf I Acc USD
LU0302283675
LU0302283675
0,80%
-10,47%
Goldman Sachs Em Mkts Debt Local Pf I Acc GBP
LU0302287312
LU0302287312
0,81%
-0,98%
Goldman Sachs Em Mkts Debt Local Pf IO USD
LU0302291264
LU0302291264
0,11%
-9,79%
Goldman Sachs Em Mkts Debt Local Pf P USD
LU0302288716
LU0302288716
1,40%
-10,87%
Goldman Sachs Em Mkts Debt Local Pf IO Acc USD
LU0302291850
LU0302291850
0,11%
-9,88%
Goldman Sachs Em Mkts Debt Local Pf IS EUR
LU2133328059
LU2133328059
0,56%
-2,81%
Goldman Sachs Em Mkts Debt Local Pf I USD
LU0302283329
LU0302283329
0,80%
-10,52%
Goldman Sachs Em Mkts Debt Local Pf I Acc EUR
LU0494455123
LU0494455123
0,80%
-3,04%
Goldman Sachs Em Mkts Debt Local Pf R Acc USD
LU0830658851
LU0830658851
0,89%
-10,53%
Goldman Sachs Em Mkts Debt Local Pf Base USD
LU0302282511
LU0302282511
1,77%
-11,30%
Goldman Sachs Em Mkts Debt Local Pf IX USD MD(Snp)
LU0302290456
LU0302290456
1,10%
-10,62%
Goldman Sachs Em Mkts Debt Local Pf E Acc EUR
LU0302284640
LU0302284640
2,02%
-4,26%
Goldman Sachs Em Mkts Debt Local Pf OCS GBP
LU0502799959
LU0502799959
1,77%
-1,71%
Goldman Sachs Em Mkts Debt Local Pf R Acc EUR
LU0858294241
LU0858294241
0,87%
-3,08%
Goldman Sachs Em Mkts Debt Local Pf I EUR QDis
LU0997588644
LU0997588644
0,80%
-3,09%
Goldman Sachs Em Mkts Debt Local Pf A USD
LU0302282941
LU0302282941
2,02%
-11,51%
Goldman Sachs Em Mkts Debt Local Pf A Acc USD
LU0302283246
LU0302283246
2,02%
-11,56%
Goldman Sachs Em Mkts Debt Local Pf IO Acc JPY
LU1472482964
LU1472482964
0,11%
9,98%
Goldman Sachs Em Mkts Debt Local Pf Base Acc USD
LU0302282867
LU0302282867
1,77%
-11,34%
Ver más clases
Datos de rentabilidad calculados a fecha 28/11/2022

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