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Gewahlte Kriterien:
KAG: AllianceBernstein LU
Fondstyp: alle
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A402YH | AB SICAV I GLOBAL GROWTH PORTFOLIO CLASS I USD | USD | 16,52 | 27.11. | | - | - | - | - | | A402YM | AB SICAV I GLOBAL GROWTH PORTFOLIO CLASS INN EUR | EUR | 16,95 | 27.11. | | - | - | - | - | | A3CQCL | AB SICAV I GLOBAL PLUS FIXED INCOME PORTFOLIO CLASS A2 SGD H | SGD | 15,74 | 27.11. | | 0,45 | 4,24 | - | - | | A3EN3H | AB SICAV I GLOBAL PLUS FIXED INCOME PORTFOLIO CLASS AI | USD | 74,79 | 27.11. | | 2,16 | 6,27 | - | - | | A3CP2F | AB SICAV I GLOBAL PLUS FIXED INCOME PORTFOLIO CLASS AT | USD | 15,50 | 27.11. | | 2,20 | 6,30 | - | - | | A3CP43 | AB SICAV I GLOBAL PLUS FIXED INCOME PORTFOLIO CLASS AT AUD H | AUD | 14,67 | 27.11. | | 1,12 | 4,96 | - | - | | A3CP42 | AB SICAV I GLOBAL PLUS FIXED INCOME PORTFOLIO CLASS AT CAD H | CAD | 14,77 | 27.11. | | 1,34 | 5,36 | - | - | | A3CP2G | AB SICAV I GLOBAL PLUS FIXED INCOME PORTFOLIO CLASS AT EUR H | EUR | 14,37 | 27.11. | | 0,63 | 4,40 | - | - | | A3CP40 | AB SICAV I GLOBAL PLUS FIXED INCOME PORTFOLIO CLASS AT SGD H | SGD | 14,76 | 27.11. | | 0,38 | 4,21 | - | - | | A3CP6L | AB SICAV I GLOBAL PLUS FIXED INCOME PORTFOLIO CLASS CT | USD | 14,75 | 27.11. | | 1,75 | 5,77 | - | - | | A3CQHY | AB SICAV I INDIA GROWTH PORTFOLIO CLASS A PLN H | PLN | 142,45 | 27.11. | | 12,13 | 22,08 | - | - | | A3CQBB | AB SICAV I INDIA GROWTH PORTFOLIO CLASS AD AUD H | AUD | 17,53 | 27.11. | | 10,69 | 20,24 | - | - | | A2QBME | AB SICAV I INTERNATIONAL HEALTH CARE PORTFOLIO CLASS A EUR H | EUR | 21,73 | 27.11. | | 2,50 | 7,52 | - | - | | A3DQYZ | AB SICAV I INTERNATIONAL HEALTH CARE PORTFOLIO CLASS A SGD H | SGD | 16,91 | 27.11. | | 2,30 | 7,30 | - | - | | A3CQGK | AB SICAV I INTERNATIONAL HEALTH CARE PORTFOLIO CLASS AD | USD | 21,11 | 27.11. | | 4,35 | 9,64 | - | - | | A3CQHS | AB SICAV I INTERNATIONAL HEALTH CARE PORTFOLIO CLASS I | GBP | 25,09 | 27.11. | | 5,69 | 10,14 | - | - | | A3CQHZ | AB SICAV I INTERNATIONAL TECHNOLOGY PORTFOLIO CLASS A PLN H | PLN | 240,93 | 27.11. | | 32,29 | 42,74 | - | - | | A2PNF8 | AB SICAV I LOW VOL.EQ.PF.A EUR | EUR | 26,70 | 27.11. | | 22,42 | 25,53 | - | - | | A2PNF9 | AB SICAV I LOW VOL.EQ.PF.I EUR | EUR | 27,89 | 27.11. | | 23,24 | 26,54 | - | - | | A2PNKW | AB SICAV I LOW VOL.EQ.PF.I GBP | GBP | 26,18 | 27.11. | | 18,62 | 21,60 | - | - | |
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