KBC BONDS CONSEIL - ČSOB IS, Current fund rates

The latest results of the company's funds, Current fund rates KBC BONDS CONSEIL - ČSOB IS, number of funds 10.
Mutual funds, all companies

Managed funds Currency Year/week Date Rate Change
week
Change
month
Change
rok
NAV in sum
mil.
KBC BONDS CENTRAL EUROPE LU0145227863 EUR 2025/26 24.6.2025 689.9800 0.55% 0.43% 4.44%
KBC BONDS CONVERTIBLES LU0098296873 EUR 2025/19 8.5.2025 889.0000 -0.03% -1.65% 0.40%
KBC BONDS CORPORATE EURO LU0094437620 EUR 2025/26 24.6.2025 910.6200 0.12% 0.70% 5.66%
KBC BONDS CORPORATE USD LU0106101842 USD 2025/26 24.6.2025 1322.7000 0.62% 1.81% 5.74%
KBC BONDS EMERGING MARKETS LU0082283374 USD 2025/26 24.6.2025 2629.3000 0.66% 1.95% 6.34%
KBC BONDS HIGH INTEREST LU0052033098 EUR 2025/26 24.6.2025 1832.7200 -0.25% -0.73% -0.22%
KBC BONDS INFLATION-LINKED BONDS LU0103555248 EUR 2025/26 24.6.2025 1092.9000 -0.07% 0.82% 2.69%
KBC RENTA EURORENTA LU0058246306 EUR 2025/26 24.6.2025 2814.4000 0.09% 0.71% 3.38%
KBC RENTA NOKRENTA KAP. LU0166237098 NOK 2025/15 8.4.2025 6300.6600 0.90% 1.18% 2.31%
Spravované fondy Datum
povolení
Typ
KBC BONDS INCOME LU0052030318  

Current week 26. year 2025.
Data sources: Investment company KBC BONDS CONSEIL - ČSOB IS
Time: July 1, 2025, 4:01 a.m.
London time: July 1, 2025, 4:01 a.m.
NY time: June 30, 2025, 11:01 p.m.
Tokyo time: July 1, 2025, 12:01 p.m.


 
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