Fondsen
Doorzoek alle in België verhandelde fondsen
IssueId:
60042513
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Dividend Info
EUSD
BluBay TR Credit C-£ QIDiv u.
Hedge Funds/Absolute Return
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Dividenden
1
-
25
of
36
Naam
Div.
Div. brut.
Dat. Ex div.
Betaaldatum
BluBay TR Credit C-£ QIDiv
0,88
30-9-2021
7-10-2021
BluBay TR Credit C-£ QIDiv
1,40
31-3-2021
9-4-2021
BluBay TR Credit C-£ QIDiv
1,38
31-12-2020
8-1-2021
BluBay TR Credit C-£ QIDiv
0,87
30-9-2020
7-10-2020
BluBay TR Credit C-£ QIDiv
0,76
30-6-2020
7-7-2020
BluBay TR Credit C-£ QIDiv
0,99
31-3-2020
7-4-2020
BluBay TR Credit C-£ QIDiv
0,97
31-12-2019
8-1-2020
BluBay TR Credit C-£ QIDiv
0,96
30-9-2019
7-10-2019
BluBay TR Credit C-£ QIDiv
1,24
28-6-2019
5-7-2019
BluBay TR Credit C-£ QIDiv
1,17
29-3-2019
5-4-2019
BluBay TR Credit C-£ QIDiv
1,20
31-12-2018
8-1-2019
BluBay TR Credit C-£ QIDiv
0,98
28-9-2018
5-10-2018
BluBay TR Credit C-£ QIDiv
1,35
29-6-2018
6-7-2018
BluBay TR Credit C-£ QIDiv
1,16
29-3-2018
9-4-2018
BluBay TR Credit C-£ QIDiv
1,26
29-12-2017
8-1-2018
BluBay TR Credit C-£ QIDiv
1,17
29-9-2017
6-10-2017
BluBay TR Credit C-£ QIDiv
1,26
30-6-2017
7-7-2017
BluBay TR Credit C-£ QIDiv
1,48
31-3-2017
7-4-2017
BluBay TR Credit C-£ QIDiv
1,25
30-12-2016
9-1-2017
BluBay TR Credit C-£ QIDiv
1,28
30-9-2016
7-10-2016
BluBay TR Credit C-£ QIDiv
1,18
30-6-2016
7-7-2016
BluBay TR Credit C-£ QIDiv
1,31
31-3-2016
7-4-2016
BluBay TR Credit C-£ QIDiv
1,19
31-12-2015
8-1-2016
BluBay TR Credit C-£ QIDiv
1,08
30-9-2015
7-10-2015
BluBay TR Credit C-£ QIDiv
1,00
30-6-2015
7-7-2015