Gewahlte Kriterien:
KAG: AllianceBernstein LU
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A0PAAB | AB FCP I AMERICAN INC.PF.AT EUR | EUR | 6,10 | 18.9. | | 4,56 | 7,41 | 3,38 | 4,49 | | A0J3FE | AB FCP I AMERICAN INCOME PORTFOLIO CLASS A | EUR | 6,09 | 18.9. | | 4,39 | 7,40 | 3,50 | 4,47 | | A3CQKR | AB SICAV I LOW VOLATILITY TOTAL RETURN EQUITY PORTFOLIO CLASS A PLN H | PLN | 115,25 | 18.9. | | 5,68 | 7,38 | - | - | | A3CP7D | AB FCP I JAPAN STRATEGIC VALUE PORTFOLIO CLASS AD NZD H | NZD | 19,32 | 18.9. | | 10,55 | 7,38 | - | - | | A0LBJB | AB FCP I JAPAN STRATEGIC VALUE PORTFOLIO CLASS A | USD | 108,25 | 18.9. | | 7,24 | 7,33 | -3,73 | 16,22 | | A0JMJF | AB SICAV I EUROZONE EQUITY PORTFOLIO CLASS BX | USD | 14,32 | 18.9. | | 2,21 | 7,27 | -3,44 | 12,40 | | A0JMJD | AB FCP I EMERGING MARKETS GROWTH PORTFOLIO CLASS I | EUR | 50,50 | 18.9. | | 5,54 | 7,24 | -7,96 | 11,80 | | A3CP43 | AB SICAV I GLOBAL PLUS FIXED INCOME PORTFOLIO CLASS AT AUD H | AUD | 14,91 | 18.9. | | 2,42 | 7,21 | - | - | | A12HQY | AB FCP I MORTGAGE INC.PF.I2 EUR | EUR | 20,61 | 18.9. | | 7,51 | 7,18 | 26,44 | 20,10 | | A1W5AA | AB SICAV I RMB INCOME PLUS PORTFOLIO CLASS AT | CNH | 81,99 | 17.9. | | 5,16 | 7,09 | - | - | | A1JG4P | AB SICAV I RMB INCOME PLUS PORTFOLIO CLASS A2 | CNH | 147,01 | 17.9. | | 5,16 | 7,09 | 0,23 | 6,09 | | A3CP71 | AB FCP I MORTGAGE INC.PF.I EUR | EUR | 10,43 | 18.9. | | 7,03 | 7,07 | - | - | | A0LBEW | AB FCP I AMERICAN INCOME PORTFOLIO CLASS C2 | EUR | 34,68 | 18.9. | | 4,30 | 7,04 | 2,09 | 2,21 | | A12DTA | AB FCP I AMERICAN INC.PF.C EUR | EUR | 6,11 | 18.9. | | 4,02 | 7,01 | -0,81 | - | | A3CQC0 | AB SICAV I EUROZONE EQUITY PF.I USD H | USD | 30,68 | 18.9. | | 4,14 | 7,01 | 15,34 | 34,80 | | A1H670 | AB FCP I JAPAN STR.VALUE PF.I EUR H | EUR | 41,45 | 18.9. | | 10,36 | 6,94 | 32,77 | 60,41 | | A3CQH1 | AB SICAV I LOW VOLATILITY TOTAL RETURN EQUITY PORTFOLIO CLASS AD | USD | 12,60 | 18.9. | | 5,38 | 6,93 | - | - | | A3CP2G | AB SICAV I GLOBAL PLUS FIXED INCOME PORTFOLIO CLASS AT EUR H | EUR | 14,62 | 18.9. | | 2,12 | 6,90 | - | - | | A2P3T8 | AB SICAV I LOW VOL.T.RE.EQ.PORTF.A | USD | 16,28 | 18.9. | | 5,37 | 6,89 | 12,74 | 4,63 | | A1J4S3 | AB SICAV I EM.MARKET L.C.DB.PF.I2 EUR H | EUR | 11,67 | 18.9. | | 0,60 | 6,87 | -7,09 | -9,95 | |
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