DE Austria (Österreich) Institutionell

Historic Prices

Barings Developed and Emerging Markets High Yield Bond Fund

Class A USD Inc Monthly Dividend

Stichtag NAV Fondsinformationen
18/02/2020 9.670
17/02/2020 9.670
14/02/2020 9.660
13/02/2020 9.660
12/02/2020 9.650
11/02/2020 9.630
10/02/2020 9.620
07/02/2020 9.620
06/02/2020 9.600
05/02/2020 9.570
04/02/2020 9.540
03/02/2020 9.540
31/01/2020 9.590
30/01/2020 9.600
29/01/2020 9.600
28/01/2020 9.570
27/01/2020 9.620
24/01/2020 9.630
23/01/2020 9.640
22/01/2020 9.640
21/01/2020 9.640
20/01/2020 9.630
X

We use cookies on our website to provide you with the best experience. By proceeding to our site you agree to our Cookies Notice and our site Terms and Conditions.