 |
|
|
| Klicken Sie auf eine Spaltenüberschrift, um zu sortieren. |
|
A2JJ22 | FRANKFURTER AKTIENFONDS FÜR STIFTUNGEN - S | EUR | 102,049,20 | 13.1. |  | 1,32 | 10,21 | 22,80 | 25,47 |  | A0M8HD | FRANKFURTER AKTIENFONDS FÜR STIFTUNGEN - T | EUR | 153,48 | 13.1. |  | 1,31 | 9,86 | 21,61 | 23,28 |  | A12BPP | FRANKFURTER AKTIENFONDS FÜR STIFTUNGEN - TI | EUR | 157,98 | 13.1. |  | 1,33 | 10,11 | 22,60 | 24,85 |  | A2P1AS | FRANKFURTER AKTIENFONDS FÜR STIFTUNGEN - XL | EUR | 1,621,85 | 13.1. |  | 1,33 | 10,53 | 24,06 | 28,31 |  | A2JJZ3 | FRANKFURTER LONG-TERM VALUE FUND - A | EUR | 114,217,00 | 13.1. |  | 1,69 | 7,56 | 9,78 | 19,03 |  | A2DTMS | FRANKFURTER LONG-TERM VALUE FUND - G | EUR | 9,414,58 | 13.1. |  | 1,96 | 7,84 | 10,51 | 20,95 |  | A2DTMP | FRANKFURTER LONG-TERM VALUE FUND - I | EUR | 91,591,78 | 13.1. |  | 1,69 | 7,23 | 9,49 | 18,50 |  | A2DTMN | FRANKFURTER LONG-TERM VALUE FUND - R | EUR | 87,37 | 13.1. |  | 1,68 | 7,13 | 8,52 | 16,38 |  | A2DTMR | FRANKFURTER LONG-TERM VALUE FUND - S | EUR | 94,462,52 | 13.1. |  | 1,69 | 7,78 | 10,09 | 18,77 |  | FRA3TF | FRANKFURTER UCITS-ETF - MODERN VALUE | EUR | 157,32 | 13.1. |  | 0,90 | 10,66 | 47,02 | - |  | A2H890 | FUNDAMENT TOTAL RETURN - I | EUR | 168,10 | 13.1. |  | 8,41 | 32,08 | 1,20 | 16,56 |  | A2H5YB | FUNDAMENT TOTAL RETURN - P | EUR | 159,09 | 13.1. |  | 8,50 | 31,70 | 0,09 | 13,68 |  | A0M5V4 | GANADOR - SPIRIT INVEST - A | EUR | 235,33 | 13.1. |  | 3,08 | 20,99 | 29,47 | 27,10 |  | A0M5V5 | GANADOR - SPIRIT INVEST - B | EUR | 2,591,16 | 13.1. |  | 3,10 | 21,37 | 31,18 | 29,99 |  | A3C4YJ | GANADOR - SPIRIT INVEST - CHF HEDGED | CHF | 111,50 | 13.1. |  | 2,95 | 18,83 | 21,08 | - |  | A3DGCT | GANADOR - SPIRIT INVEST - USD HEDGED | USD | 1,323,40 | 13.1. |  | 3,20 | 24,22 | 37,59 | - |  | A3CY8R | HAAS INVEST4 INNOVATION - R | EUR | 55,92 | 13.1. |  | 1,27 | 14,36 | 54,82 | - |  | A3CY8Q | HAAS INVEST4 INNOVATION - S | EUR | 114,86 | 13.1. |  | 1,29 | 15,15 | 57,73 | - |  | A0NEBQ | HARTZ REGEHR SUBSTANZ-FONDS A | EUR | 1,482,85 | 13.1. |  | 1,87 | 8,42 | 25,07 | 20,87 |  | A3E2ZG | HARTZ REGEHR SUBSTANZ-FONDS B | EUR | 548,37 | 13.1. |  | 1,86 | 8,22 | - | - |  |
|
|
|