 |
Gewahlte Kriterien:
KAG: Hermes Fd. M.(IE)
Fondstyp: alle
|
Sortiert nach: YTD Performance |
Suche ändern
Neue Suche |
| |
|
| Klicken Sie auf eine Spaltenüberschrift, um zu sortieren. |
|
A1J5CT | FEDERATED HERMES US SMID EQUITY FUND CLASS F EUR ACC. SHARES | EUR | 6,59 | 20.1. |  | 5,74 | -11,20 | 25,73 | - |  | A1J5CS | FEDERATED HERMES US SMID EQUITY FUND CLASS F2 EUR DIST. SHARES | EUR | 6,52 | 20.1. |  | 5,74 | -11,22 | 25,63 | - |  | A1J5CX | FEDERATED HERMES US SMID EQUITY FUND KLASSE R EUR THES. ANTEILE | EUR | 7,16 | 20.1. |  | 5,69 | -11,90 | 22,77 | 34,32 |  | A1J5CV | FEDERATED HERMES US SMID EQUITY FUND KLASSE F USD THES. ANTEILE | USD | 6,29 | 20.1. |  | 5,63 | 0,92 | 36,31 | 35,26 |  | A1J5CU | FEDERATED HERMES US SMID EQUITY FUND KLASSE F2 USD AUSSCH. ANTEILE | USD | 6,06 | 20.1. |  | 5,63 | 0,93 | 36,31 | 35,26 |  | A1XAUG | FEDERATED HERMES US SMID EQUITY FUND KLASSE R USD THES. ANTEILE | USD | 4,53 | 20.1. |  | 5,59 | 0,15 | 33,15 | 30,04 |  | A1XAUZ | FEDERATED HERMES US SMID EQUITY FUND CLASS F2 EUR DIST. HEDGED SHARES | EUR | 2,90 | 20.1. |  | 5,55 | -1,18 | 28,20 | 21,48 |  | A1W7DD | FEDERATED HERMES US SMID EQUITY FUND KLASSE F EUR THES. ABGESICHERTE ANTEILE | EUR | 4,54 | 20.1. |  | 5,55 | -1,20 | 28,34 | - |  | A1XAP7 | FEDERATED HERMES GLOBAL EMERGING MARKETS EQUITY FUND KLASSE F EUR THES. ANTEILE | EUR | 5,43 | 20.1. |  | 5,54 | 21,47 | 27,06 | 3,42 |  | A1XAP6 | FEDERATED HERMES GLOBAL EMERGING MARKETS EQUITY FUND KLASSE F2 EUR AUSSCH. ANTEILE | EUR | 3,76 | 20.1. |  | 5,54 | 21,48 | 27,06 | 3,42 |  | A1JZ5G | FEDERATED HERMES GLOBAL EMERGING MARKETS EQUITY FUND KLASSE R EUR THES. ANTEILE | EUR | 5,79 | 20.1. |  | 5,51 | 20,87 | 25,17 | 0,87 |  | A14RF0 | FEDERATED HERMES GLOBAL EMERGING MARKETS EQUITY FUND KLASSE R2 EUR AUSSCH. ANTEILE | EUR | 3,17 | 20.1. |  | 5,51 | 20,87 | 25,18 | 0,87 |  | A1XAUF | FEDERATED HERMES US SMID EQUITY FUND KLASSE R EUR THES. ABGESICHERTE ANTEILE | EUR | 3,61 | 20.1. |  | 5,51 | -1,93 | 25,37 | 16,90 |  | A2AQ81 | FEDERATED HERMES GLOBAL EMERGING MARKETS EQUITY FUND KLASSE L USD THES. ANTEILE | USD | 4,12 | 20.1. |  | 5,45 | 38,47 | 39,00 | 1,72 |  | A1W7C9 | FEDERATED HERMES GLOBAL EMERGING MARKETS EQUITY FUND KLASSE F USD THES. ANTEILE | USD | 4,39 | 20.1. |  | 5,43 | 38,05 | 37,76 | 0,20 |  | A1XARS | FEDERATED HERMES GLOBAL EMERGING MARKETS EQUITY FUND KLASSE F GBP THES. ABGESICHERTE | GBP | 1,88 | 20.1. |  | 5,41 | 37,05 | 34,90 | -4,50 |  | A1XARM | FEDERATED HERMES GLOBAL EMERGING MARKETS EQUITY FUND KLASSE R USD THES. ANTEILE | USD | 3,76 | 20.1. |  | 5,41 | 37,37 | 35,70 | -2,28 |  | A14RFZ | FEDERATED HERMES GLOBAL EMERGING MARKETS EQUITY FUND KLASSE R2 USD AUSSCH. ANTEILE | USD | 3,45 | 20.1. |  | 5,40 | 37,36 | 35,71 | -2,27 |  | A1XAPX | FEDERATED HERMES GLOBAL EMERGING MARKETS EQUITY FUND KLASSE F2 GBP AUSSCH. ANTEILE | GBP | 2,01 | 20.1. |  | 5,37 | 25,17 | 26,39 | 1,77 |  | A1W7C8 | FEDERATED HERMES GLOBAL EMERGING MARKETS EQUITY FUND KLASSE F GBP THES. ANTEILE | GBP | 2,87 | 20.1. |  | 5,37 | 25,17 | 26,40 | 1,79 |  |
|
|
|