Fondspreise

BayernInvest Fonds

Fonds

Ausgabepreis (€)

Rücknahmepreis (€)

NAV-Preis (€)

BayernInvest Renten Europa Fonds

978,55

978,55

978,55

RENTEN-EUROPA-FONDS-AK-A

104,93

101,38

101,38

RENTEN-EUROPA-FONDS-AK-V

10,52

10,52

10,52

BayernInvest Subordinated Bond Fonds

7.965,52

7.965,52

7.965,52

SUBORDINATED-BOND-FONDS-AK-A

95,63

92,39

92,39

BayernInvest Emerging Markets Select Bond Fonds, Anteilklasse EUR Hedged

6.420,12

6.420,12

6.420,12

BayernInvest Emerging Markets Select Corporate Bond IG Fonds

718,30

718,30

718,30

BayernInvest-Arena-Bond-Fund-A-EUR-Hedged

1.078,92

1.027,54

1.027,54

BayernInvest-Alpha-Select-Bond-Fonds-B-EUR-Hedged

104,74

101,68

101,68

BayernInvest-Alpha-Select-Bond-Fonds-C-EUR-Hedged

1.081,70

1.081,70

1.081,70

BayernInvest-Alpha-Select-Bond-Fonds-D-USD

1.191,76

1.191,76

1.191,76

ESG-Corporate-Bond-Klimaschutz

925,95

925,95

925,95

ESG-Corporate-Bond-Klimaschutz-AK-A

91,70

90,79

90,79

ESG-Global-Bond-Opportunities

981,24

981,24

981,24

ESG-Global-Bond-Opportunities-AK-A

99,08

95,73

95,73

Stand: 30.06.2025