 |
|
Klicken Sie auf eine Spaltenüberschrift, um zu sortieren. |
|
A0M7LV | DB PWM II - ACTIVE ASSET ALLOCATION PORTFOLIO - CORE (EURO) A | EUR | 1,737,63 | 10.10. |  | 5,82 | 5,90 | 30,60 | 26,88 |  | A1JZS1 | DB PWM II - ACTIVE ASSET ALLOCATION PORTFOLIO - CORE (EURO) PF | EUR | 154,16 | 10.10. |  | 4,92 | 4,78 | 26,27 | 18,77 |  | A0M8GU | DB PWM II - ACTIVE ASSET ALLOCATION PORTFOLIO - CORE (USD) A | USD | 251,41 | 10.10. |  | 11,59 | 8,81 | 42,48 | 28,11 |  | A1JZS4 | DB PWM II - ACTIVE ASSET ALLOCATION PORTFOLIO - CORE (USD) PF | USD | 158,41 | 10.10. |  | 10,32 | 7,34 | 37,34 | 20,10 |  | A0M8GW | DB PWM II - ACTIVE ASSET ALLOCATION PORTFOLIO - GROWTH (USD) A | USD | 323,66 | 10.10. |  | 14,11 | 11,06 | 56,15 | 42,56 |  | A1JZS5 | DB PWM II - ACTIVE ASSET ALLOCATION PORTFOLIO - GROWTH (USD) PF | USD | 189,68 | 10.10. |  | 12,58 | 9,34 | 49,42 | 32,22 |  | A2PNY2 | DF DEUTSCHE FINANCE SECURITIES FUND GLOBAL REAL ESTATE INVESTMENT I | EUR | 921,70 | 10.10. |  | -2,47 | -9,46 | 8,29 | 6,29 |  | A2PNY1 | DF DEUTSCHE FINANCE SECURITIES FUND GLOBAL REAL ESTATE INVESTMENT R | EUR | 87,16 | 10.10. |  | -2,93 | -10,01 | 6,21 | 1,39 |  | A401A8 | ENOVA ACTIVE CORE EUR ULTRA SHORT TERM ED | EUR | 100,86 | 8.10. |  | 1,71 | 2,50 | - | - |  | A401A9 | ENOVA ACTIVE CORE EUR ULTRA SHORT TERM ID | EUR | 100,87 | 8.10. |  | 1,75 | 2,54 | - | - |  | A401A7 | ENOVA ACTIVE CORE EUR ULTRA SHORT TERM RD | EUR | 100,86 | 8.10. |  | 1,71 | 2,50 | - | - |  | A0M5Y5 | ERBA INVEST | EUR | 36,62 | 10.10. |  | 23,95 | 22,08 | 31,45 | 27,41 |  | A116US | EUROSWITCH WORLD PROFILE STARLUX H | EUR | 191,10 | 10.10. |  | 22,35 | 29,34 | 66,45 | 54,34 |  | A0M98B | EUROSWITCH WORLD PROFILE STARLUX R | EUR | 111,51 | 10.10. |  | 21,31 | 27,94 | 61,05 | 46,03 |  | A1JW9N | FFPB DIVIDENDEN SELECT | EUR | 161,23 | 10.10. |  | 15,10 | 18,50 | 24,48 | 28,36 |  | A0MZG3 | FFPB MULTITREND DOPPELPLUS | EUR | 16,69 | 10.10. |  | 4,84 | 6,65 | 23,36 | 14,79 |  | A0MZG4 | FFPB MULTITREND PLUS | EUR | 16,57 | 10.10. |  | 7,60 | 9,08 | 26,10 | 18,53 |  | HAFX51 | FU FONDS - BONDS MONTHLY INCOME I | EUR | 1,128,34 | 9.10. |  | 4,04 | 6,25 | - | - |  | HAFX9M | FU FONDS - BONDS MONTHLY INCOME P | EUR | 100,49 | 9.10. |  | 3,55 | 5,61 | 31,26 | 29,63 |  | A419LD | FU FONDS - BONDS MONTHLY INCOME Z | EUR | 100,10 | 9.10. |  | - | - | - | - |  |
|
|
|