Gewahlte Kriterien:
KAG: AllianceBernstein LU
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A2H9PC | AB SICAV I RMB INC.PL.PF.A2 GBP | GBP | 16,27 | 27.11. | | 5,31 | 6,62 | -4,29 | 6,20 | | A2PNEJ | AB SICAV I CONCENTRATED US EQUITY PORTFOLIO CLASS I CHF H | CHF | 40,81 | 27.11. | | 11,81 | 18,60 | -4,36 | 43,44 | | A1C2LC | AB SICAV I EUROZONE EQUITY PORTFOLIO CLASS A | USD | 33,28 | 27.11. | | -4,20 | -0,51 | -4,40 | 5,79 | | A3CP5S | AB FCP I AMERICAN INC.PF.IT SGD H | SGD | 10,72 | 27.11. | | 2,27 | 7,13 | -4,50 | - | | A1H52E | AB SICAV I SUST.US THEM.PF.C EUR H | EUR | 65,96 | 27.11. | | 12,12 | 18,85 | -4,53 | - | | A1CVB0 | AB SICAV I SUSTAINABLE EURO HIGH YIELD PORTFOLIO CLASS A2 | USD | 29,80 | 27.11. | | 1,67 | 6,43 | -4,55 | 2,58 | | A0JMG7 | AB SICAV I SUSTAINABLE GLOBAL THEMATIC PORTFOLIO CLASS BX | EUR | 87,11 | 27.11. | | 14,29 | 20,10 | -4,59 | 54,81 | | A3CP09 | AB FCP I AMERICAN INC.PF.I2 AUD H | AUD | 16,20 | 27.11. | | 2,99 | 7,86 | -4,59 | - | | A2JNW2 | AB FCP I AMERICAN INC.PF.AT GBP H | GBP | 10,43 | 27.11. | | 3,18 | 8,21 | -4,68 | -2,63 | | A12D1N | AB FCP I AMERICAN INC.PF.AA GBP H | GBP | 8,87 | 27.11. | | 3,18 | 8,14 | -4,70 | -2,86 | | A1JCM7 | AB SICAV I EMERGING MARKETS MULTI-ASSET PORTFOLIO CLASS A EUR H | EUR | 14,77 | 27.11. | | 11,81 | 17,78 | -4,77 | 4,90 | | A14PTD | AB SICAV I EMERGING MARKETS MULTI-ASSET PORTFOLIO CLASS AR EUR H | EUR | 10,20 | 27.11. | | 11,79 | 17,77 | -4,80 | 4,94 | | A3CP5R | AB FCP I AMERICAN INC.PF.IT AUD H | AUD | 9,84 | 27.11. | | 3,06 | 7,92 | -4,98 | - | | A3CQDD | AB FCP I AMERICAN INC.PF.IA AUD H | AUD | 10,57 | 27.11. | | 3,10 | 8,00 | -4,99 | - | | A1JTT6 | AB SICAV I GLOBAL PLUS FIXED INCOME PORTFOLIO CLASS A2 | USD | 18,55 | 27.11. | | 2,15 | 6,24 | -5,16 | -2,68 | | A0JM6B | AB FCP I EUROPEAN INCOME PORTFOLIO CLASS I2 | USD | 15,74 | 27.11. | | 0,45 | 6,06 | -5,18 | 2,34 | | A3CP9V | AB FCP I MORTGAGE INC.PF.AT AUD H | AUD | 11,15 | 27.11. | | 1,55 | 2,01 | -5,19 | -18,20 | | A3CQCG | AB FCP I EUROPEAN INC.PF.A2 CHF H | CHF | 15,91 | 27.11. | | 1,99 | 6,49 | -5,24 | -1,79 | | A0JMJK | AB FCP I EUROPEAN INCOME PORTFOLIO CLASS I | USD | 6,22 | 27.11. | | 0,13 | 6,04 | -5,26 | 2,16 | | 986898 | AB SICAV I GLOBAL REAL ESTATE SECURITIES PORTFOLIO CLASS I | USD | 34,81 | 27.11. | | 10,51 | 21,88 | -5,30 | 6,10 | |
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