Gewahlte Kriterien:
KAG: AllianceBernstein LU
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A1JTT7 | AB SICAV I GLOBAL PLUS FIXED INCOME PORTFOLIO CLASS A2 EUR H | EUR | 15,59 | 18.9. | | 2,10 | 6,85 | -10,97 | -10,25 | | A2DW91 | AB FCP I AMERICAN INCOME PORTFOLIO CLASS A2 CHF H | CHF | 15,04 | 18.9. | | 2,04 | 6,82 | -12,30 | -9,56 | | A3CQCL | AB SICAV I GLOBAL PLUS FIXED INCOME PORTFOLIO CLASS A2 SGD H | SGD | 15,99 | 18.9. | | 2,04 | 6,81 | - | - | | A3CP40 | AB SICAV I GLOBAL PLUS FIXED INCOME PORTFOLIO CLASS AT SGD H | SGD | 15,03 | 18.9. | | 2,00 | 6,81 | - | - | | A1C6LR | AB FCP II AB EM.MKT.VALUE PF.A EUR | EUR | 49,30 | 18.9. | | 6,83 | 6,66 | 5,50 | 21,37 | | A3CQKP | AB SICAV I LOW VOL.T.RE.EQ.PORTF.AD H | GBP | 12,46 | 18.9. | | 5,24 | 6,66 | - | - | | A0JMHC | AB FCP I MORTGAGE INCOME PORTFOLIO CLASS A2X | EUR | 13,95 | 18.9. | | 7,14 | 6,65 | 24,55 | 17,23 | | A2P3T9 | AB SICAV I LOW VOL.T.RE.EQ.PORTF.A H | GBP | 15,25 | 18.9. | | 5,17 | 6,64 | - | - | | A115CK | AB SICAV I GLOBAL DYN.BOND PF.I2 EUR H | EUR | 15,75 | 18.9. | | 3,35 | 6,64 | -0,63 | 0,70 | | A12HQW | AB FCP I MORTGAGE INC.PF.A2 EUR | EUR | 19,43 | 18.9. | | 7,05 | 6,58 | 24,23 | 16,77 | | A3CQJU | AB SICAV I LOW VOLATILITY TOTAL RETURN EQUITY PORTFOLIO CLASS AD | HKD | 84,01 | 18.9. | | 5,21 | 6,56 | - | - | | A3CQJQ | AB SICAV I LOW VOLATILITY TOTAL RETURN EQUITY PORTFOLIO CLASS A | HKD | 103,80 | 18.9. | | 5,21 | 6,56 | - | - | | A3CP7W | AB FCP I MORTGAGE INC.PF.AT EUR | EUR | 10,50 | 18.9. | | 7,08 | 6,55 | 23,69 | 7,58 | | A0LCJN | AB FCP I MORTGAGE INC.PF.AX EUR | EUR | 5,05 | 18.9. | | 6,63 | 6,51 | 24,27 | - | | 986422 | AB FCP I SHORT DURATION BOND PORTFOLIO CLASS I | USD | 7,24 | 18.9. | | 3,42 | 6,45 | 5,29 | 7,80 | | A3CP5T | AB FCP I SHORT DURATION BOND PF.IT USD | USD | 11,91 | 18.9. | | 3,63 | 6,42 | 3,42 | - | | A0JM6D | AB FCP I SHORT DURATION BOND PORTFOLIO CLASS I2 | USD | 14,04 | 18.9. | | 3,54 | 6,36 | 5,33 | 7,92 | | A0JMJB | AB FCP I EMERGING MARKETS GROWTH PORTFOLIO CLASS A | EUR | 40,49 | 18.9. | | 4,92 | 6,36 | -10,20 | 7,34 | | A1J4S1 | AB SICAV I EM.MARKET L.C.DB.PF.A2 EUR H | EUR | 10,91 | 18.9. | | 0,18 | 6,34 | -8,55 | -12,30 | | A3CQKN | AB SICAV I LOW VOL.T.RE.EQ.PORTF.AD H | CAD | 12,55 | 18.9. | | 4,92 | 6,30 | - | - | |
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