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 2025-11-06 50.25 1.05 0.78 9.10 21.82 21.97 73.70 56.30
SCHRODER ISF ASIAN OPPORTUNITIES A (ACC) (EUR) EUR 2025-11-06 25.32 0.24 2.51 17.17 26.47 17.01 38.82 23.15
SCHRODER ISF ASIAN OPPORTUNITIES A (ACC) (USD) USD 2025-11-06 29.28 0.79 1.17 16.28 28.70 25.99 62.31 19.51
SCHRODER ISF ASIAN OPPORTUNITIES A1 (ACC) HEDGED (PLN) PLN 2025-11-06 87.32 0.80 1.11 16.12 28.54 25.42 61.49 18.46
SCHRODER ISF BIC A (ACC) (EUR) EUR 2025-11-06 247.19 1.02 1.18 16.94 17.19 12.62 19.54 -5.95
SCHRODER ISF BIC A (ACC) (USD) USD 2025-11-06 285.27 1.56 -0.15 16.02 19.23 21.28 39.77 -8.75
SCHRODER ISF CHANGING LIFESTYLES A (ACC) (USD) USD 2025-11-06 152.37 0.11 -1.50 0.42 4.16 9.95 55.27 29.43
SCHRODER ISF CHINA A A (ACC) (USD) USD 2025-11-06 154.69 1.65 -0.18 21.36 30.87 26.04 22.97 -9.73
SCHRODER ISF CHINA OPPORTUNITIES A (ACC) (USD) USD 2025-11-06 449.75 1.97 -4.14 12.89 21.69 26.54 35.65 -17.07
SCHRODER ISF COMMODITY A (ACC) (USD) USD 2025-11-06 132.90 0.20 1.57 9.68 8.18 15.60 3.10
SCHRODER ISF COMMODITY EUR HEDGED A (ACC) (EUR) EUR 2025-11-06 114.41 0.19 1.36 8.97 6.85 12.96 -3.67
SCHRODER ISF COMMODITY PLN HEDGED A (ACC) (PLN) PLN 2025-11-06 569.01 0.21 1.61 9.77 8.49 16.25 5.64
SCHRODER ISF EMERGING ASIA A (ACC) (EUR) EUR 2025-11-06 57.11 0.48 0.44 16.17 23.11 18.36 36.99 27.22
SCHRODER ISF EMERGING ASIA A (ACC) (USD) USD 2025-11-06 65.92 1.01 -0.87 15.26 25.23 27.46 60.16 23.42
SCHRODER ISF EMERGING EUROPE A (ACC) (EUR) EUR 2025-11-06 28.10 0.61 0.75 0.04 14.23 28.78 120.91 1.92
SCHRODER ISF EMERGING MARKET BOND A (ACC) HEDGED (EUR) EUR 2025-11-06 112.21 0.14 0.61 3.62 9.22 10.65 35.29 4.42
SCHRODER ISF EMERGING MARKET BOND A (ACC) (USD) USD 2025-11-06 139.95 0.17 0.82 4.29 10.66 13.14 44.47 15.17
SCHRODER ISF EMERGING MARKETS A (ACC) (EUR) EUR 2025-11-06 20.28 0.55 3.26 19.29 28.44 22.24 44.44 30.67
SCHRODER ISF EMERGING MARKETS A (ACC) (USD) USD 2025-11-06 23.46 1.12 1.96 18.43 30.62 31.72 68.90 26.81
SCHRODER ISF EMERGING MARKETS DEBT TOTAL RETURN A (ACC) HEDGED (EUR) EUR 2025-11-06 26.03 0.27 0.12 2.20 5.56 7.92 18.75 -3.81