Invesco Global Investment Grade Corporate Bond Fund A (EUR hedged) annual distribution WKN A117P4 | ISIN LU1075208998 | Fonds Watchlist Musterdepot Alert Factsheet 02.02.26 8,48 EUR +0,11 % (+0,01) ausschüttend Invesco Global Investment Grade Corporate Bond Fund C annual distribution - USD (ausschüttend) Invesco Global Investment Grade Corporate Bond Fund C (EUR hedged) accumulation - EUR (thesaurierend) Invesco Global Investment Grade Corporate Bond Fund C accumulation - USD (thesaurierend) Invesco Global Investment Grade Corporate Bond Fund C quarterly distribution - USD (ausschüttend) Invesco Global Investment Grade Corporate Bond Fund C (CHF hedged) accumulation (thesaurierend) Invesco Global Investment Grade Corporate Bond Fund A annual distribution - USD (ausschüttend) Invesco Global Investment Grade Corporate Bond Fund A (EUR hedged) accumulation (thesaurierend) Invesco Global Investment Grade Corporate Bond Fund A (EUR hedged) annual distribution (ausschüttend) Invesco Global Investment Grade Corporate Bond Fund A annual distribution - EUR (ausschüttend) Invesco Global Investment Grade Corporate Bond Fund A accumulation - USD (thesaurierend) Invesco Global Investment Grade Corporate Bond Fund Z annual distribution - gross income - EUR (ausschüttend) Invesco Global Investment Grade Corporate Bond Fund Z (EUR hedged) accumulation (thesaurierend) Invesco Global Investment Grade Corporate Bond Fund Z accumulation - USD (thesaurierend) Invesco Global Investment Grade Corporate Bond Fund Z (EUR hedged) annual distribution - gross income (ausschüttend) Invesco Global Investment Grade Corporate Bond Fund A (CHF hedged) accumulation (thesaurierend) Invesco Global Investment Grade Corporate Bond Fund Z (CHF Hgd)-Acc (thesaurierend) Invesco Global Investment Grade Corporate Bond Fund Z accumulation - EUR (thesaurierend) Invesco Global Investment Grade Corporate Bond Fund Z annual distribution - USD (ausschüttend) Verkaufen Kaufen Übersicht Profile / Kennzahlen Chart-Pro Risikomatrix Kurse & Handelsplätze Fondsprofil Ausschüttungen Datum Betrag 03.03.2025 0,32 EUR 01.03.2024 0,29 EUR 01.03.2023 0,23 EUR 01.03.2022 0,21 EUR Datum Betrag 01.03.2021 0,19 EUR 02.03.2020 0,24 EUR 01.03.2019 0,28 EUR 01.03.2018 0,22 EUR Datum Betrag 01.03.2017 0,31 EUR 01.03.2016 0,32 EUR