CAD99,2163 25,16% (12m)

Schroder AS Commodity CAD Hedged I Acc

ISIN: LU0252499768
Nivel de riesgo:
6
Moneda: CAD (CAD)
Gestora: Schroder Invest
Gastos corrientes: 0,10%
Fecha valor liquidativo: 04.08.2022
Fondo no comercializado por EBN, si lo quiere solicítelo

Comparativa de Costes

Este fondo tiene 23 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
Schroder AS Commodity CAD Hedged I Acc
LU0252499768
LU0252499768
0,10%
25,16%
Buscada
Schroder AS Commodity JPY Hedged I Acc
LU0505767524
LU0505767524
0,10%
23,70%
Schroder AS Commodity C Acc
LU0232506161
LU0232506161
1,36%
22,84%
Schroder AS Commodity I Acc
LU0232508886
LU0232508886
0,09%
24,40%
Más barata
Schroder AS Commodity EUR Hedged A Acc
LU0233036713
LU0233036713
1,94%
20,70%
Schroder AS Commodity CAD Hedged C Acc
LU0252498109
LU0252498109
1,39%
22,31%
Schroder AS Commodity CHF Hedged A Acc
LU0336368492
LU0336368492
1,94%
20,39%
Schroder AS Commodity J Dis
LU0349533686
LU0349533686
0,17%
24,49%
Schroder AS Commodity GBP Hedged A Dis
LU0294693261
LU0294693261
1,94%
21,59%
Schroder AS Commodity D Acc
LU0326977633
LU0326977633
2,91%
20,95%
Schroder AS Commodity EUR Hedged C Acc
LU0233036804
LU0233036804
1,39%
21,38%
Schroder AS Commodity SGD Hedged A Acc
LU0319973649
LU0319973649
1,94%
22,19%
Schroder AS Commodity I Dis
LU0472991529
LU0472991529
0,09%
24,51%
Schroder AS Commodity GBP Hedged C Dis
LU0294693931
LU0294693931
1,39%
22,39%
Schroder AS Commodity GBP Hedged I Acc
LU0256323386
LU0256323386
0,10%
23,97%
Schroder AS Commodity EUR Hedged I Acc
LU0233036986
LU0233036986
0,10%
22,95%
Schroder AS Commodity GBP Hedged C Acc
LU0256323030
LU0256323030
1,39%
22,39%
Schroder AS Commodity A Dis
LU0294692537
LU0294692537
1,91%
22,16%
Schroder AS Commodity CHF Hedged C Acc
LU0336368575
LU0336368575
1,39%
21,07%
Schroder AS Commodity CAD Hedged A Acc
LU0252496582
LU0252496582
1,94%
21,62%
Schroder AS Commodity GBP Hedged A Acc
LU0256322222
LU0256322222
1,94%
21,69%
Schroder AS Commodity C Dis
LU0294692966
LU0294692966
1,36%
22,84%
Schroder AS Commodity A Acc
LU0232504117
LU0232504117
1,91%
22,16%
Ver más clases
Datos de rentabilidad calculados a fecha 04/08/2022

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