Notowania

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Nazwa funduszu Waluta Data wyceny Wartość 1d 1m 3m 6m 12m 36m 60m
SCHRODER ISF ASIAN EQUITY YIELD A (ACC) (USD) USD 2026-07-02 61.00 0.88 -4.57 18.13 18.03 37.11 74.63 56.17
SCHRODER ISF ASIAN OPPORTUNITIES A (ACC) (EUR) EUR 2026-07-02 32.90 -1.23 -3.26 28.72 28.07 58.94 71.09 40.96
SCHRODER ISF ASIAN OPPORTUNITIES A (ACC) (USD) USD 2026-07-02 37.76 -0.53 -4.91 27.91 25.12 54.82 79.81 36.22
SCHRODER ISF ASIAN OPPORTUNITIES A1 (ACC) HEDGED (PLN) PLN 2026-07-02 111.42 -0.53 -5.05 27.24 23.86 53.03 75.96 34.99
SCHRODER ISF BIC A (ACC) (EUR) EUR 2026-07-02 216.04 -0.45 -3.72 -1.02 -9.99 3.70 9.39 -24.01
SCHRODER ISF BIC A (ACC) (USD) USD 2026-07-02 247.45 0.02 -5.38 -1.67 -12.08 1.00 14.92 -26.59
SCHRODER ISF CHINA A A (ACC) (USD) USD 2026-07-02 187.04 -2.36 1.09 20.71 20.98 54.18 48.46 -1.50
SCHRODER ISF CHINA OPPORTUNITIES A (ACC) (USD) USD 2026-07-02 382.96 0.29 -9.04 -6.76 -14.42 1.48 7.79 -34.69
SCHRODER ISF COMMODITY A (ACC) (USD) USD 2026-07-02 157.92 0.19 -9.35 -10.91 15.27 28.90 39.17 45.23
SCHRODER ISF COMMODITY EUR HEDGED A (ACC) (EUR) EUR 2026-07-02 134.26 0.18 -9.51 -11.26 14.24 26.14 30.93
SCHRODER ISF COMMODITY PLN HEDGED A (ACC) (PLN) PLN 2026-07-02 676.85 0.19 -9.38 -10.84 15.39 29.18 40.80 53.65
SCHRODER ISF EMERGING ASIA A (ACC) (EUR) EUR 2026-07-02 71.65 -0.98 -4.67 23.94 23.24 52.28 68.47 40.71
SCHRODER ISF EMERGING ASIA A (ACC) (USD) USD 2026-07-02 82.09 -0.29 -6.31 23.13 20.38 48.34 77.03 35.96
SCHRODER ISF EMERGING EUROPE A (ACC) (EUR) EUR 2026-07-02 35.67 1.51 2.35 15.89 19.50 35.22 110.94 -13.06
SCHRODER ISF EMERGING MARKET BOND A (ACC) HEDGED (EUR) EUR 2026-07-02 115.40 0.44 -0.03 3.48 1.25 7.15 24.86 3.93
SCHRODER ISF EMERGING MARKET BOND A (ACC) (USD) USD 2026-07-02 145.78 0.44 0.14 3.97 2.22 9.53 32.58 15.25
SCHRODER ISF EMERGING MARKETS A (ACC) (EUR) EUR 2026-07-02 26.32 -1.42 -3.31 24.92 27.09 59.90 83.41 43.90
SCHRODER ISF EMERGING MARKETS A (ACC) (USD) USD 2026-07-02 30.22 -0.72 -4.97 24.11 24.16 55.77 92.73 39.01
SCHRODER ISF EMERGING MARKETS DEBT TOTAL RETURN A (ACC) HEDGED (EUR) EUR 2026-07-02 26.99 0.37 0.07 2.86 1.73 5.93 12.27 -0.66
SCHRODER ISF EMERGING MARKETS DEBT TOTAL RETURN A (ACC) (USD) USD 2026-07-02 31.83 0.38 0.25 3.38 2.81 8.34 19.44 10.33