Franklin Global Convertible Securities Fund - A(acc) EUR-H1
ISIN: LU0727123316WKN: A1JTU2Währung: EUR
17,63 EUR
+0,51 %
+0,09
Börse:
Stand:
03.05.
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Börse / Markt | Letzter | Kurszeit | Gehand. Stk. | Umsatz EUR |
---|---|---|---|---|
EUR-Fonds | 17,63EUR | 03.05. |
Statistiken
7 Tage | 1 Monat | 6 Monate | 1 Jahr | 3 Jahre | 5 Jahre | |
---|---|---|---|---|---|---|
Performance [%] | +0,80 | -0,73 | +8,43 | +4,20 | -13,45 | +22,26 |
Volatilität [%] | 11,02 | 8,215 | 7,464 | 6,967 | 9,752 | 12,04 |
Sharpe-Ratio | 3,502 | -1,273 | 2,035 | 0,3411 | -0,6400 | 0,2216 |
Hoch | 17,63 | 17,96 | 17,96 | 17,96 | 21,34 | 21,77 |
Tief | 17,42 | 17,37 | 16,12 | 15,85 | 15,85 | 12,04 |
Hist. Kurs | 17,49 | 17,76 | 16,26 | 16,92 | 20,37 | 14,42 |
Gehand. Stk. | ||||||
Max. Verlust | -1,023 | -3,285 | -3,285 | -8,646 | -25,73 | -27,19 |
Quotes
- Geld (03.05.)17,63
- Brief ()0
- Spread 0
- Geld Stk.0
- Brief Stk.0
Kursdaten
- Fondswährung-
- KurswährungEUR
- Datum03.05.2024
- Rücknahmepreis17,63
- Differenz abs.+0,0900
- Differenz rel.+0,5131 %
Kursdaten Vortag
- Vortag-Rücknahmepreis17,54
Stammdaten
- WertpapiertypRentenfonds
- ISINLU0727123316
- WKNA1JTU2
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