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Gewahlte Kriterien:
KAG: AllianceBernstein LU
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756520 | AB SICAV I EUROPEAN EQUITY PORTFOLIO CLASS I | EUR | 32,29 | 26.11. |  | 19,50 | 18,80 | 37,46 | 57,51 |  | 989730 | AB SICAV I EUROZONE GROWTH PORTFOLIO CLASS BX | EUR | 15,02 | 26.11. |  | 17,25 | 18,64 | 32,45 | 34,11 |  | A1JCM7 | AB SICAV I EMERGING MARKETS MULTI-ASSET PORTFOLIO CLASS A EUR H | EUR | 17,43 | 26.11. |  | 18,17 | 18,33 | 51,30 | 12,38 |  | A3CP36 | AB SICAV I EMERGING MARKETS MULTI-ASSET PORTFOLIO CLASS AD EUR H | EUR | 11,67 | 26.11. |  | 18,19 | 18,26 | 48,73 | - |  | 659142 | AB SICAV I EUROPEAN EQUITY PORTFOLIO CLASS A | EUR | 24,63 | 26.11. |  | 18,64 | 17,85 | 34,22 | 51,29 |  | A40D2A | AB SICAV I EMERGING MARKETS LOW VOLATILITY EQUITY PORTFOLIO CLASS I | EUR | 17,94 | 26.11. |  | 14,19 | 17,10 | - | - |  | A1CVB4 | AB SICAV I SUSTAINABLE EURO HIGH YIELD PORTFOLIO CLASS I2 | USD | 37,44 | 26.11. |  | 17,51 | 16,74 | 40,33 | 9,15 |  | A117NH | AB SICAV I SUSTAINABLE EURO HIGH YIELD PORTFOLIO CLASS I | USD | 17,67 | 26.11. |  | 17,07 | 16,72 | 36,62 | - |  | A1C6LT | AB FCP II EMERGING MARKETS VALUE PORTFOLIO CLASS I | EUR | 67,81 | 26.11. |  | 16,87 | 16,55 | 43,51 | 52,45 |  | A40DEE | AB SICAV I EMERGING MARKETS LOW VOLATILITY EQUITY PORTFOLIO CLASS A | EUR | 17,73 | 26.11. |  | 13,36 | 16,19 | - | - |  | A1190P | AB SICAV I SUSTAINABLE EURO HIGH YIELD PORTFOLIO CLASS A | USD | 17,69 | 26.11. |  | 16,59 | 16,13 | 37,91 | - |  | A1CVB0 | AB SICAV I SUSTAINABLE EURO HIGH YIELD PORTFOLIO CLASS A2 | USD | 34,35 | 26.11. |  | 16,92 | 16,13 | 38,06 | 6,15 |  | A1C6LR | AB FCP II EMERGING MARKETS VALUE PORTFOLIO CLASS A | EUR | 59,58 | 26.11. |  | 15,98 | 15,60 | 40,06 | 46,46 |  | A0JMHP | AB SICAV I INTERNATIONAL TECHNOLOGY PORTFOLIO CLASS I | EUR | 1,271,05 | 26.11. |  | 15,42 | 14,91 | 117,26 | 90,57 |  | A1JNV2 | AB SICAV I SELECT US EQUITY PORTFOLIO CLASS I | USD | 93,17 | 26.11. |  | 17,70 | 14,50 | 71,27 | 101,80 |  | A1J4S2 | AB SICAV I EMERGING MARKET LOCAL CURRENCY DEBT PORTFOLIO CLASS I2 | USD | 15,90 | 26.11. |  | 17,00 | 14,39 | 29,58 | 4,61 |  | A0JM6B | AB FCP I EUROPEAN INCOME PORTFOLIO CLASS I2 | USD | 17,80 | 26.11. |  | 15,58 | 14,10 | 33,43 | 1,83 |  | A0JMHM | AB SICAV I INTERNATIONAL TECHNOLOGY PORTFOLIO CLASS A | EUR | 998,37 | 26.11. |  | 14,58 | 13,99 | 112,12 | 83,11 |  | A1J4S0 | AB SICAV I EMERGING MARKET LOCAL CURRENCY DEBT PORTFOLIO CLASS A2 | USD | 14,76 | 26.11. |  | 16,50 | 13,80 | 27,57 | 1,93 |  | A1JNV0 | AB SICAV I SELECT US EQUITY PORTFOLIO CLASS A | USD | 83,27 | 26.11. |  | 16,84 | 13,57 | 67,18 | 93,88 |  |
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