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Gewahlte Kriterien:
KAG: AllianceBernstein LU
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930672 | AB SICAV I INDIA GROWTH PORTFOLIO CLASS I | USD | 254,62 | 26.11. |  | 0,00 | -1,06 | 33,43 | 50,60 |  | A1C01G | AB SICAV I US SMALL AND MID-CAP PORTFOLIO CLASS I EUR H | EUR | 46,86 | 26.11. |  | -0,36 | -7,92 | 18,18 | 36,02 |  | A0JMHJ | AB SICAV I INTERNATIONAL HEALTH CARE PORTFOLIO CLASS A | EUR | 519,50 | 26.11. |  | -0,39 | -5,47 | 4,69 | 40,13 |  | A2P3T8 | AB SICAV I LOW VOLATILITY TOTAL RETURN EQUITY PORTFOLIO CLASS A | USD | 16,33 | 26.11. |  | -0,49 | 0,25 | 10,56 | 13,96 |  | 973247 | AB SICAV I INDIA GROWTH PORTFOLIO CLASS AX | USD | 224,22 | 26.11. |  | -0,54 | -1,65 | 31,06 | 46,17 |  | A0RPM5 | AB SICAV I INDIA GROWTH PORTFOLIO CLASS A | USD | 247,47 | 26.11. |  | -0,73 | -1,86 | 30,27 | 44,70 |  | A0RPM7 | AB SICAV I INDIA GROWTH PORTFOLIO CLASS B | USD | 229,64 | 26.11. |  | -0,75 | -1,88 | 30,22 | 42,94 |  | A1W24B | AB SICAV I INDIA GROWTH PORTFOLIO CLASS C | USD | 211,63 | 26.11. |  | -1,12 | -2,29 | 28,53 | 41,49 |  | A0LDAQ | AB SICAV I GLOBAL REAL ESTATE SECURITIES PORTFOLIO CLASS I | EUR | 30,62 | 26.11. |  | -1,19 | -6,99 | 11,63 | 22,73 |  | A1C01E | AB SICAV I US SMALL AND MID-CAP PORTFOLIO CLASS A EUR H | EUR | 41,33 | 26.11. |  | -1,22 | -8,78 | 15,19 | 30,13 |  | 973199 | AB SICAV I INDIA GROWTH PORTFOLIO CLASS BX | USD | 163,45 | 26.11. |  | -1,44 | -2,64 | 27,19 | 39,06 |  | A2QA4E | AB SICAV I LOW VOLATILITY TOTAL RETURN EQUITY PORTFOLIO CLASS I EUR H | EUR | 15,80 | 26.11. |  | -1,68 | -1,06 | 6,90 | - |  | A1J4SZ | AB SICAV I SELECT ABSOLUTE ALPHA PORTFOLIO CLASS I | EUR | 30,91 | 26.11. |  | -1,90 | -2,28 | 21,31 | 51,00 |  | A0LDAS | AB SICAV I GLOBAL REAL ESTATE SECURITIES PORTFOLIO CLASS A | EUR | 25,10 | 26.11. |  | -1,91 | -7,72 | 9,04 | 17,95 |  | A2P3T6 | AB SICAV I LOW VOLATILITY TOTAL RETURN EQUITY PORTFOLIO CLASS A EUR H | EUR | 14,22 | 26.11. |  | -2,40 | -1,86 | 4,33 | 4,87 |  | A402YC | AB SICAV I GLOBAL GROWTH PORTFOLIO CLASS I EUR | EUR | 16,17 | 26.11. |  | -2,88 | -5,55 | - | - |  | A402YM | AB SICAV I GLOBAL GROWTH PORTFOLIO CLASS INN EUR | EUR | 16,17 | 26.11. |  | -2,88 | -5,55 | - | - |  | A0JM45 | AB FCP I AMERICAN INCOME PORTFOLIO CLASS I2 | EUR | 17,78 | 26.11. |  | -3,47 | -2,74 | 8,95 | 11,26 |  | A402YS | AB SICAV I GLOBAL GROWTH PORTFOLIO CLASS A EUR | EUR | 15,93 | 26.11. |  | -3,63 | -6,35 | - | - |  | A402YV | AB SICAV I EUROPEAN GROWTH PORTFOLIO INN EUR | EUR | 13,88 | 26.11. |  | -3,65 | -3,59 | - | - |  |
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