突发资讯
劲爆优惠40% 0
🔥 我们的AI选股策略科技巨头,自五月以来已大涨7.1%。立即领略AI风采,抓住热门股机遇。
领取六折优惠

全球基金

查找基金

国家及地区:

发行商:

晨星评级:

风险评级:

资产类别:

种类:

搜索

卢森堡 - 基金

创建提醒
添加至投资组合
从投资组合添加/删除  
添加至自选组合
添加头寸

头寸已成功添加至:

请给您的持仓投资组合命名
 
创建提醒
New!
创建提醒
网站
  • 作为提醒通知
  • 您需要登录至您的账户才能使用此功能
移动App
  • 您需要登录至您的账户才能使用此功能
  • 请确保以同样的用户个人资料登录

条件

提醒频率

一次
%

提醒频率

提醒频率

通知方式

状态

 名称代码最新价涨跌幅总资产时间
 AXA World Funds Euro Credit Plus I Distribution 0P0001.9,257.700-0.21%1.14B17/05 
 AXA World Funds Global Inflation Short Duration 0P0001.124.130+0.02%1.04B17/05 
 AXA World Funds Global Inflation Short Duration 0P0001.122.610+0.02%1.04B17/05 
 AXA World Funds Global Inflation Short Duration 0P0001.103.150+0.02%1.04B17/05 
 AXA World Funds Global Inflation Short Duration 0P0001.103.630+0.02%1.04B17/05 
 AXA World Funds Global Inflation Short Duration 0P0001.103.490+0.02%1.04B17/05 
 AXA World Funds Global Inflation Short Duration 0P0001.120.610+0.02%1.04B17/05 
 AXA World Funds Global Inflation Short Duration 0P0001.96.770+0.01%1.04B17/05 
 AXA World Funds Global Inflation Short Duration 0P0001.97.320+0.01%1.04B17/05 
 AXA World Funds Global Inflation Short Duration 0P0001.84.1200.00%1.04B17/05 
 AXA World Funds Global Inflation Short Duration 0P0001.99.570+0.01%1.04B17/05 
 AXA World Funds - Global Inflation Bonds F Hedged 0P0001.129.210-0.22%1.13B17/05 
 AXA World Funds Global High Yield Bonds A Capita0P0001.127.680+0.01%1.07B17/05 
 AXA World Funds Global High Yield Bonds A Distri0P0001.77.7800%1.07B17/05 
 AXA World Funds US Dynamic High Yield Bonds A Ca0P0001.165.820+0.03%1.18B17/05 
 AXA World Funds - US Dynamic High Yield Bonds I Ca0P0001.184.680+0.04%1.18B17/05 
 AXA World Funds US Dynamic High Yield Bonds F Ca0P0001.154.170+0.05%1.18B17/05 
 AXA World Funds US Dynamic High Yield Bonds I Ca0P0001.136.910+0.04%1.18B17/05 
 AXA World Funds - Global High Yield Bonds I Capita0P0000.316.190+0.02%1.07B17/05 
 AXA World Funds Global High Yield Bonds A Distri0P0001.81.110+0.01%1.07B17/05 

瑞士 - 基金

 名称代码最新价涨跌幅总资产时间
 AXA World Funds - Framlington Global Convertibles 0P0000.116.140-0.26%438.6M17/05