 |
|
Klicken Sie auf eine Spaltenüberschrift, um zu sortieren. |
|
DNA10R | 10XDNA - DISRUPTIVE TECHNOLOGIES EX CRYPTO - R | EUR | 31,32 | 21.8. |  | 2,25 | 29,37 | - | - |  | A2PBDR | 4 JAHRESZEITEN - I | EUR | 117,76 | 21.8. |  | -3,71 | -0,61 | -4,51 | 4,33 |  | A2N68F | 4 JAHRESZEITEN - P | EUR | 116,65 | 21.8. |  | -3,80 | -0,76 | -4,90 | 3,60 |  | A2P3WL | 4 JAHRESZEITEN - T | EUR | 103,96 | 21.8. |  | -3,71 | -0,61 | -4,52 | 4,34 |  | 933882 | ALBRECH & CIE. - OPTISELECT FONDS P | EUR | 287,73 | 21.8. |  | -2,18 | 1,36 | 5,91 | 24,74 |  | A2JFRG | ALBRECH & CIE. - OPTISELECT FONDS S | EUR | 1,384,13 | 21.8. |  | -1,93 | 3,75 | 9,82 | 30,74 |  | A1XEEX | ARBOR INVEST - SPEZIALRENTEN - R | EUR | 108,19 | 21.8. |  | 3,85 | 6,07 | 16,46 | 20,55 |  | A2JBWY | ARBOR INVEST - SPEZIALRENTEN - SI | EUR | 105,15 | 21.8. |  | 4,05 | 6,40 | 17,67 | 22,56 |  | A0NF4R | ARBOR INVEST - VERMÖGENSVERWALTUNGSFONDS - R | EUR | 137,69 | 21.8. |  | 1,93 | 6,06 | 9,67 | 20,47 |  | A0MZLY | ARBOR INVEST - VERMÖGENSVERWALTUNGSFONDS - SI | EUR | 139,97 | 21.8. |  | 2,18 | 6,35 | 10,84 | 22,64 |  | A2QSH3 | DCP - HYBRID INCOME - I ACC - CHF | CHF | 102,55 | 21.8. |  | 1,70 | 3,73 | 12,74 | - |  | A3DTDX | DCP - HYBRID INCOME - I ACC HEDGED - EUR | EUR | 119,88 | 21.8. |  | 3,01 | 6,06 | 19,88 | - |  | A2QSH4 | DCP - HYBRID INCOME - I DIS HEDGED - EUR | EUR | 100,85 | 21.8. |  | 3,04 | 6,06 | 18,98 | - |  | A2DS25 | DCP - HYBRID INCOME - IS ACC - CHF | CHF | 107,60 | 21.8. |  | 2,13 | 4,06 | 13,35 | 9,26 |  | A2QCRP | DCP - HYBRID INCOME - IS ACC HEDGED - USD | USD | 122,50 | 21.8. |  | 4,30 | 7,67 | 26,16 | - |  | A2PVCE | DCP - HYBRID INCOME - IS DIS HEDGED - EUR | EUR | 101,28 | 21.8. |  | 3,06 | 5,90 | 19,21 | 14,91 |  | A40NV6 | DCP - HYBRID INCOME - R ACC - CHF | CHF | 102,38 | 21.8. |  | 1,43 | - | - | - |  | A40E5L | DCP - HYBRID INCOME - R ACC HEDGED - EUR | EUR | 106,37 | 21.8. |  | 2,78 | 5,54 | - | - |  | A40NV7 | DCP - HYBRID INCOME - R ACC HEDGED - USD | USD | 105,83 | 21.8. |  | 4,21 | - | - | - |  | A1JSWP | FRANKFURTER AKTIENFONDS FÜR STIFTUNGEN - A | EUR | 123,23 | 21.8. |  | 9,86 | 14,28 | 13,59 | 35,77 |  |
|
|
|