 |
|
|
| Klicken Sie auf eine Spaltenüberschrift, um zu sortieren. |
|
A1W6E5 | SMART-INVEST - GLOBAL EQUITY - I | EUR | 1,504,17 | 29.1. |  | 2,99 | -5,75 | 19,76 | 32,37 |  | A1JCSL | I-AM VISION MICROFINANCELOCAL CURRENCY - R-USD (T) | USD | 164,16 | 15.1. |  | 0,42 | 7,28 | 20,47 | 30,62 |  | A0M5V4 | GANADOR - SPIRIT INVEST - A | EUR | 240,27 | 29.1. |  | 5,24 | 22,26 | 31,63 | 29,97 |  | A0JMXF | SMART-INVEST - GLOBAL EQUITY - B | EUR | 38,83 | 29.1. |  | 2,97 | -6,25 | 18,10 | 29,26 |  | A2QB7D | SQUAD - GREEN BALANCE - SEED | EUR | 7,31 | 29.1. |  | 2,38 | 3,10 | 18,09 | 28,02 |  | A2DYB4 | SQUAD - GROWTH - I | EUR | 816,22 | 29.1. |  | 2,88 | 13,08 | 28,73 | 25,01 |  | A0X8JJ | PARIUM - RELAXED FUND - P | EUR | 65,92 | 28.1. |  | 2,06 | 6,45 | 21,04 | 24,56 |  | A2P1AS | FRANKFURTER AKTIENFONDS FÜR STIFTUNGEN - XL | EUR | 1,593,31 | 29.1. |  | -0,45 | 5,40 | 20,61 | 23,74 |  | A0X8JH | PARIUM - DYNAMIC FUND - P | EUR | 87,46 | 28.1. |  | 1,20 | 6,06 | 23,99 | 23,29 |  | A2QCRP | DCP - HYBRID INCOME - IS ACC HEDGED - USD | USD | 125,94 | 29.1. |  | 0,82 | 6,36 | 28,76 | 22,90 |  | A2H890 | FUNDAMENT TOTAL RETURN - I | EUR | 178,37 | 29.1. |  | 15,03 | 50,60 | 7,37 | 22,84 |  | A0H1HX | SQUAD - GROWTH - A | EUR | 794,43 | 29.1. |  | 2,97 | 12,77 | 27,35 | 22,79 |  | A0MZLY | ARBOR INVEST - VERMÖGENSVERWALTUNGSFONDS - SI | EUR | 149,06 | 29.1. |  | 2,17 | 6,89 | 24,31 | 22,71 |  | A14RW7 | MULTI-AXXION - EUROPA - B | EUR | 193,78 | 29.1. |  | 5,78 | 37,61 | 19,48 | 22,30 |  | A1C3WJ | I-AM VISION MICROFINANCELOCAL CURRENCY - I-EUR (T) | EUR | 147,50 | 15.1. |  | 0,39 | 5,15 | 14,33 | 21,88 |  | A0MZLZ | HRK INVEST - VERMÖGENSVERWALTUNGSFONDS G - P | EUR | 146,06 | 23.1. |  | 2,59 | 7,02 | 19,43 | 21,60 |  | A0NEBQ | HARTZ REGEHR SUBSTANZ-FONDS A | EUR | 1,473,89 | 29.1. |  | 1,25 | 5,17 | 24,01 | 21,51 |  | A0Q8QW | PEH SICAV - PEH EMPIRE - F | EUR | 164,05 | 29.1. |  | -0,33 | 6,52 | 37,92 | 21,47 |  | A1H7ML | I-AM VISION MICROFINANCELOCAL CURRENCY - I-EUR (A) | EUR | 98,01 | 15.1. |  | 0,39 | 5,16 | 13,75 | 21,25 |  | A2JJ22 | FRANKFURTER AKTIENFONDS FÜR STIFTUNGEN - S | EUR | 100,230,60 | 29.1. |  | -0,48 | 4,93 | 19,38 | 20,99 |  |
|
|
|