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Amundi Funds Bond Euro Corporate (EUR) AE
Last NAV
EUR
 
19.93
(Last Update : 2024/11/27)
1-Month return
 
+0.50%
Fund House Amundi Hong Kong Limited - Amundi Funds
Fund Type Fixed Income Funds
Fund Size
 
783.75M
Sector General
Geographic Allocation Europe (ex UK)
Cumulative Performance
Period
Range
Return
Fund Avg
1-Week
19.86 - 19.93
+0.35%
+0.42%
1-Month
19.73 - 19.93
+0.50%
+0.30%
3-Month
19.45 - 19.93
+2.31%
+0.07%
1-Year
18.31 - 19.93
+8.85%
+5.62%
3-Year
17.32 - 20.78
-3.25%
-5.86%
Since Launch
2.00 - 21.00
+896.50%
+86.52%
Volatility
3 year annualised standard deviation
6.02%
1M | 3M | 6M | Adv. Chart 
 
 | 
 
Color - 
Calendar Year Performance
Returns (%)
2012
2011
2010
2009
2008
EUR
+12.73%
+0.33%
+3.00%
+22.76%
-8.64%
Portfolio Composition
No related information.
Top Holdings
Asset
Attribute
Proportion
 
Daimler Ag 2% Jun21 Emtn
1.15%
Volkswagen 2% Mar21 Emtn
1.07%
Citigroup 5% Aug19 Emtn
1.06%
Merrill Lynch 4.625% Sep18 Emtn
0.98%
Deutsche Bank 4.296% May28
0.97%
BNP Paribas 2.875% Oct22 Emtn
0.97%
Philip Morris 1.75% Mar20
0.92%
Plastic Omniu 2.875% May20
0.92%
GE Cap Eur Fu 1% May17 Emtn
0.89%
JP Morgan Chase 1.875% Nov19 Emtn
0.89%
Similar Funds (By Fund Type)
Top 5 Advancers
(sorted by 1-Month Return)
Fund Name
Last NAV
1M Return
3M Return
BlackRock Fixed Income Global Opportunities Fund (EUR) A1 9.60
+3.32%
+6.03%
BlackRock Fixed Income Global Opportunities Fund (EUR) A3 9.62
+3.32%
+6.02%
BlackRock Fixed Income Global Opportunities Fund (EUR) A2 15.51
+3.26%
+6.67%
BlackRock Fixed Income Global Opportunities Fund (EUR) C2 12.43
+3.24%
+6.33%
BlackRock Fixed Income Global Opportunities Fund (EUR) C1 9.60
+3.00%
+5.73%
Top 5 Decliners
(sorted by 1-Month Return)
Fund Name
Last NAV
1M Return
3M Return
Barings Global Bond Fund (USD) S-Inc 20.57
-2.28%
-4.50%
Ping An Of China SIF – RMB Bond Fund (USD) 8.68
-1.81%
-2.47%
Ping An Of China SIF – RMB Bond Fund (HKD) 91.32
-1.64%
-2.74%
JPM Global Convertibles (USD) 13.79
-1.15%
-5.16%
Templeton Global High Yield Fund 5.50
-1.08%
-2.65%
Fund - Browser History
Last NAV
1 Month Return
3 Month Return
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