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Gewahlte Kriterien:
KAG: AllianceBernstein LU
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A0JMG7 | AB SICAV I SUSTAINABLE GLOBAL THEMATIC PORTFOLIO CLASS BX | EUR | 82,78 | 18.9. | | 8,61 | 12,21 | -1,43 | 54,12 | | A0DK7S | AB FCP I GLOBAL EQUITY BLEND PORTFOLIO CLASS B | USD | 23,65 | 18.9. | | 8,59 | 14,86 | -0,67 | 43,42 | | A0J221 | AB FCP I EMERGING MARKETS DEBT PORTFOLIO CLASS A | USD | 11,36 | 18.9. | | 8,57 | 17,57 | -4,84 | 3,48 | | A3CP4U | AB FCP I EMERGING MARKETS DEBT PORTFOLIO CLASS NT | USD | 9,46 | 18.9. | | 8,56 | 16,90 | - | - | | A3CP1J | AB SICAV I SUST.GLOBAL THEM.PF.A SGD H | SGD | 32,99 | 18.9. | | 8,56 | 15,43 | -8,05 | - | | A3CQB3 | AB SICAV I ALL MARKET INC.PF.AD AUD H | AUD | 8,36 | 18.9. | | 8,49 | 15,10 | - | - | | A3DNX9 | AB FCP I EMERGING MARKETS DEBT PORTFOLIO CLASS I2 AUD H | AUD | 16,75 | 18.9. | | 8,48 | 16,40 | - | - | | A3CP5L | AB FCP I EMERGING MARKETS DEBT PORTFOLIO CLASS AT CAD H | CAD | 9,12 | 18.9. | | 8,46 | 16,60 | - | - | | A3CQA0 | AB FCP I EMERGING MARKETS DEBT PORTFOLIO CLASS AA CAD H | CAD | 8,35 | 18.9. | | 8,45 | 16,60 | - | - | | A111XS | AB SICAV I CONCENTRATED GLOBAL EQUITY PORTFOLIO CLASS I EUR H | EUR | 31,53 | 18.9. | | 8,43 | 13,13 | -12,10 | 26,47 | | A12C19 | AB FCP I EMERGING MARKETS DEBT PORTFOLIO CLASS C | USD | 11,42 | 18.9. | | 8,40 | 17,12 | - | - | | A0J4KC | AB FCP I EMERGING MARKETS DEBT PORTFOLIO CLASS A2 | EUR | 30,79 | 18.9. | | 8,38 | 13,16 | 0,56 | 2,87 | | A3CP5N | AB FCP I EMERGING MARKETS DEBT PORTFOLIO CLASS IT AUD H | AUD | 8,83 | 18.9. | | 8,35 | 16,36 | - | - | | A14PTE | AB SICAV I CONCENTRATED GLOBAL EQUITY PORTFOLIO CLASS AR | EUR | 22,07 | 18.9. | | 8,34 | 9,99 | -2,02 | 35,29 | | A3CP0C | AB FCP I EMERGING MARKETS DEBT PORTFOLIO CLASS AT | EUR | 10,50 | 18.9. | | 8,34 | 13,08 | - | - | | A14PH5 | AB FCP I EM.MKT.DEBT PF.AR EUR | EUR | 9,40 | 18.9. | | 8,34 | 13,16 | 0,48 | 2,86 | | A14PTG | AB SICAV I ALL MARKET INC.PF.AR EUR H | EUR | 7,00 | 18.9. | | 8,32 | 14,77 | -1,77 | 0,31 | | A1XBWR | AB SICAV I SELECT ABSOLUTE ALPHA PORTFOLIO CLASS I CHF H | CHF | 21,11 | 18.9. | | 8,31 | 10,41 | 5,23 | 24,18 | | A0LBJA | AB FCP I JAPAN STRATEGIC VALUE PORTFOLIO CLASS A | JPY | 15,407,00 | 18.9. | | 8,30 | 3,53 | 25,30 | 52,54 | | A3CP68 | AB FCP I JAPAN STRATEGIC VALUE PORTFOLIO CLASS AD | JPY | 14,528,00 | 18.9. | | 8,30 | 3,54 | - | - | |
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