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Gewahlte Kriterien:
KAG: AllianceBernstein LU
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A402YR | AB SICAV I GLOBAL GROWTH PORTFOLIO CLASS A USD | USD | 17,04 | 26.11. |  | 7,92 | 3,59 | - | - |  | A40G4K | AB SICAV I EURO CORPORATE BOND PORTFOLIO CLASS I2 | EUR | 16,03 | 26.11. |  | 3,49 | 3,55 | - | - |  | A40G41 | AB SICAV I EURO CORPORATE BOND PORTFOLIO CLASS IT | EUR | 15,42 | 26.11. |  | 3,43 | 3,54 | - | - |  | 974523 | AB SICAV I INTERNATIONAL HEALTH CARE PORTFOLIO CLASS B | USD | 433,57 | 26.11. |  | 10,48 | 3,52 | 13,99 | 29,25 |  | A1J4SX | AB SICAV I SELECT US EQUITY PORTFOLIO CLASS I | EUR | 80,33 | 26.11. |  | 5,14 | 3,50 | 52,63 | 108,11 |  | A3CRVX | AB SICAV I INTERNATIONAL HEALTH CARE PORTFOLIO AD AUD H | AUD | 15,91 | 26.11. |  | 10,60 | 3,47 | - | - |  | A1JDQK | AB SICAV I SHORT DURATION HIGH YIELD PORTFOLIO CLASS A2 EUR H | EUR | 21,03 | 26.11. |  | 3,29 | 3,44 | 16,96 | 9,19 |  | A0JM49 | AB FCP I EUROPEAN INCOME PORTFOLIO CLASS I2 | EUR | 15,35 | 26.11. |  | 3,23 | 3,16 | 18,90 | 5,07 |  | A1JU0L | AB SICAV I SELECT ABSOLUTE ALPHA PORTFOLIO CLASS A EUR H | EUR | 26,62 | 26.11. |  | 5,01 | 3,14 | 24,22 | 26,64 |  | A1J4S9 | AB SICAV I EMERGING MARKET CORPORATE DEBT PORTFOLIO CLASS I2 EUR H | EUR | 21,58 | 26.11. |  | 3,60 | 3,11 | 19,49 | 3,30 |  | A115CH | AB SICAV I GLOBAL DYNAMIC BOND PORTFOLIO CLASS A2 EUR H | EUR | 15,37 | 26.11. |  | 2,95 | 3,09 | 12,03 | 0,59 |  | 986898 | AB SICAV I GLOBAL REAL ESTATE SECURITIES PORTFOLIO CLASS I | USD | 35,50 | 26.11. |  | 10,59 | 2,90 | 25,26 | 18,97 |  | A1J4SW | AB SICAV I SELECT US EQUITY PORTFOLIO CLASS A | EUR | 71,81 | 26.11. |  | 4,39 | 2,69 | 49,01 | 99,97 |  | 756519 | AB SICAV I SUSTAINABLE US THEMATIC PORTFOLIO CLASS I | USD | 60,33 | 26.11. |  | 7,37 | 2,62 | 41,65 | 42,79 |  | 989727 | AB FCP I EUROPEAN INCOME PORTFOLIO CLASS A2 | EUR | 22,37 | 26.11. |  | 2,71 | 2,61 | 16,94 | 2,19 |  | A1C006 | AB FCP I SHORT DURATION BOND PORTFOLIO CLASS I2 EUR H | EUR | 15,73 | 26.11. |  | 2,41 | 2,61 | 8,11 | 1,81 |  | A1J4S7 | AB SICAV I EMERGING MARKET CORPORATE DEBT PORTFOLIO CLASS A2 EUR H | EUR | 20,01 | 26.11. |  | 3,04 | 2,46 | 17,29 | 0,30 |  | A111XS | AB SICAV I CONCENTRATED GLOBAL EQUITY PORTFOLIO CLASS I EUR H | EUR | 33,10 | 26.11. |  | 6,47 | 2,45 | 19,06 | 7,05 |  | A1JTT9 | AB SICAV I GLOBAL PLUS FIXED INCOME PORTFOLIO CLASS I2 EUR H | EUR | 16,89 | 26.11. |  | 2,74 | 2,18 | 6,97 | -9,00 |  | 986868 | AB SICAV I GLOBAL REAL ESTATE SECURITIES PORTFOLIO CLASS A | USD | 29,09 | 26.11. |  | 9,77 | 2,07 | 22,28 | 14,30 |  |
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