Luxembourg

Fund Selector

Important information: The value of the investments may fluctuate. Past performance is no guarantee of future results. This fund selector shows a listing of all available products managed by Robeco Institutional Asset Management B.V.

Important information: The value of the investments may fluctuate. Past performance is no guarantee of future results. This fund selector shows a listing of all available products managed by Robeco Institutional Asset Management B.V.

0 share classes found

Fund Type
Asset category
Morningstar
Currency
SFDR
Strategy
Dividend paying
Type
  • High Yield Bonds 0BxH AUD
    ISIN: LU1036585864
    0BXH
    AUD
    78.86
    ( )
  • High Yield Bonds 0BxH RMB
    ISIN: LU1089192568
    0BXH
    RMB
    81.63
    ( )
  • High Yield Bonds 0BxH USD
    ISIN: LU1036586672
    0BXH
    USD
    81.94
    ( )
  • High Yield Bonds 0CH GBP
    ISIN: LU1048590548
    0CH
    GBP
    79.67
    ( )
  • Financial Institutions Bonds 0D EUR
    ISIN: LU1171710608
    0D
    EUR
    125.80
    ( )
  • High Yield Bonds 0D3H USD
    ISIN: LU1440725379
    0D3H
    USD
    87.03
    ( )
  • High Yield Bonds 0DH EUR
    ISIN: LU0545439217
    0DH
    EUR
    168.57
    ( )
  • High Yield Bonds 0DH USD
    ISIN: LU0594695172
    0DH
    USD
    195.67
    ( )
  • Euro SDG Credits 0E EUR
    ISIN: LU1241712618
    0E
    EUR
    88.10
    ( )
  • High Yield Bonds 0EH EUR
    ISIN: LU0606904307
    0EH
    EUR
    79.45
    ( )
  • Financial Institutions Bonds 0F EUR
    ISIN: LU1246241423
    0F
    EUR
    131.01
    ( )
  • Global Credits 0FH EUR
    ISIN: LU1196729534
    0FH
    EUR
    106.82
    ( )
  • High Yield Bonds 0FH EUR
    ISIN: LU0792910993
    0FH
    EUR
    166.52
    ( )
  • Financial Institutions Bonds 0I EUR
    ISIN: LU1090433381
    0I
    EUR
    135.17
    ( )
  • European High Yield Bonds 0IH EUR
    ISIN: LU1040800143
    0IH
    EUR
    147.53
    ( )

*) The current price is compiled using the fund's Net Asset Value, plus or minus surcharge or reduction associated with the transaction costs in the fund, as stated in the prospectus.

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