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Gewahlte Kriterien:
KAG: AllianceBernstein LU
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A3CP24 | AB SICAV I SUST.US THEM.PF.A GBP H | GBP | 59,92 | 18.9. | | 12,25 | 19,24 | 5,34 | - | | A3CP2D | AB SICAV I SUST.US THEM.PF.A CAD H | CAD | 74,08 | 18.9. | | 11,99 | 19,08 | 6,28 | - | | A2PR9U | AB SICAV I EMERGING MARKETS LOW VOLATILITY EQUITY PORTFOLIO CLASS AD | HKD | 97,08 | 18.9. | | 12,59 | 19,07 | - | - | | A3CQG4 | AB SICAV I LOW VOLATILITY EQUITY PORTFOLIO CLASS AD RMB H | CNH | 124,16 | 18.9. | | 12,35 | 19,04 | - | - | | A2PR9T | AB SICAV I EMERGING MARKETS LOW VOLATILITY EQUITY PORTFOLIO CLASS A | HKD | 176,62 | 18.9. | | 12,56 | 19,03 | - | - | | A3CP5H | AB SICAV I EMERGING MARKETS MULTI-ASSET PORTFOLIO CLASS AD CAD H | CAD | 9,89 | 18.9. | | 11,36 | 19,00 | - | - | | 659147 | AB SICAV I SUSTAINABLE US THEMATIC PORTFOLIO CLASS B | USD | 37,84 | 18.9. | | 11,82 | 18,92 | 6,29 | 75,43 | | A1XEUF | AB SICAV I CONCENTRATED US EQUITY PORTFOLIO CLASS I EUR H | EUR | 42,64 | 18.9. | | 11,13 | 18,91 | 2,97 | 53,71 | | A1JCSY | AB SICAV I EMERGING MARKETS MULTI-ASSET PORTFOLIO CLASS I EUR H | EUR | 16,33 | 18.9. | | 11,39 | 18,85 | -8,00 | 10,11 | | A3C5SE | AB SICAV I SUST.GLOBAL THEM.PF.INN USD | USD | 13,99 | 18.9. | | 10,77 | 18,76 | -6,73 | - | | 930572 | AB SICAV I SUSTAINABLE GLOBAL THEMATIC PORTFOLIO CLASS I | USD | 54,60 | 18.9. | | 10,71 | 18,75 | -1,50 | 69,78 | | A3CP27 | AB SICAV I SUST.GLOBAL THEM.PF.IN USD | USD | 54,62 | 18.9. | | 10,70 | 18,74 | -1,50 | - | | 986842 | AB SICAV I SUSTAINABLE GLOBAL THEMATIC PORTFOLIO CLASS IX | USD | 159,31 | 18.9. | | 10,69 | 18,74 | -1,50 | 69,77 | | A1CVFY | AB SICAV I US SMALL AND MID-CAP PORTFOLIO CLASS C | USD | 46,27 | 18.9. | | 6,91 | 18,73 | 11,39 | 44,23 | | A1C3BK | AB SICAV I SUST.US THEM.PF.I EUR H | EUR | 76,68 | 18.9. | | 11,83 | 18,64 | 3,94 | 71,66 | | A3CQGK | AB SICAV I INTERNATIONAL HEALTH CARE PORTFOLIO CLASS AD | USD | 22,88 | 18.9. | | 12,70 | 18,60 | - | - | | 974522 | AB SICAV I INTERNATIONAL HEALTH CARE PORTFOLIO CLASS A | USD | 624,82 | 18.9. | | 12,71 | 18,59 | 18,41 | 79,50 | | A2PNF9 | AB SICAV I LOW VOL.EQ.PF.I EUR | EUR | 25,92 | 18.9. | | 14,54 | 18,57 | - | - | | A3D3NF | AB SICAV I LOW VOLATILITY EQUITY PORTFOLIO CLASS INN | EUR | 18,87 | 18.9. | | 14,50 | 18,49 | - | - | | A0LDAQ | AB SICAV I GLOBAL REAL ESTATE SECURITIES PORTFOLIO CLASS I | EUR | 31,68 | 18.9. | | 11,00 | 18,47 | 4,14 | 11,16 | |
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