DE Austria (Österreich) Institutionell
Share Class ISIN Dom. Thes/Aus Währung NAV Stichtag Fondsinformationen KIID/KID Historische Wertentwicklung
Barings German Growth Trust
Class A EUR Acc
GB0008192063 UK kumulativ EUR 10.090 17/01/2020
Barings German Growth Trust
Class A EUR Inc
GB00B2PSLK99 UK Einkommen EUR 9.024 17/01/2020
Barings German Growth Trust
Class A GBP Acc
GB0000822576 UK kumulativ GBP 8.592 17/01/2020
Barings German Growth Trust
Class A GBP Inc
GB00B2PSLJ84 UK Einkommen GBP 7.720 17/01/2020
Barings German Growth Trust
Class A RMB Hedged Acc
GB00BPFJCX30 UK kumulativ CNH 80.910 17/01/2020
Barings German Growth Trust
Class A USD Acc
GB00BF2H6K58 UK kumulativ USD 11.210 17/01/2020
Barings German Growth Trust
Class A USD Hedged Acc
GB00BXVMKV60 UK kumulativ USD 11.960 17/01/2020
Barings German Growth Trust
Class I EUR Acc
GB00BY2ZN893 UK kumulativ EUR 10.620 17/01/2020
Barings German Growth Trust
Class I EUR Inc
GB00BYQCVR12 UK Einkommen EUR 8.822 17/01/2020
Barings German Growth Trust
Class I GBP Acc
GB00B9M3QX41 UK kumulativ GBP 9.046 17/01/2020
Barings German Growth Trust
Class I GBP Inc
GB00B8DDY871 UK Einkommen GBP 7.690 17/01/2020
Barings German Growth Trust
Class I USD Acc
GB00BF2H6J44 UK kumulativ USD 11.610 17/01/2020

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