Features
Mixed bond sub-fund, which invests mainly in convertible bonds or other debt instruments related to equities in the global market, denominated in any currency.
The objective is to generate returns through active and dynamic management of a diversified portfolio, in terms of attention to the equity market, credit, volatility and interest rates. Invests in bonds in a balanced fashion, by buying volatility, thanks to significant experience in terms of fundamental analysis in support of investment approaches primarily of a technical nature
NAV PRICE
C-Quadrat Global Convertible Plus
Date07/15/2024
PriceShare89.183 €
Historical data
Date
Value €
07/12/2024
89.168
07/11/2024
89.272
07/10/2024
89.102
07/09/2024
89.339
C-Quadrat Global Convertible Plus
Date07/15/2024
PriceShare95.877 €
Historical data
Date
Value €
07/12/2024
95.856
07/11/2024
95.967
07/10/2024
95.783
07/09/2024
96.036
PERFORM. SCENARIOS
LU0548808715
LU0548808988
PAST PERFORM.
LU0548808715
LU0548808988
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Italiano
Last revision: 12 June 2024