 |
Gewahlte Kriterien:
KAG: Hauck & Aufhäuser
Fondstyp: alle
|
Sortiert nach: Performance 1 Jahr |
Suche ändern
Neue Suche |
|
|
Klicken Sie auf eine Spaltenüberschrift, um zu sortieren. |
|
A0MNRQ | MEDICAL BIOHEALTH I | EUR | 1,029,95 | 14.10. |  | 13,51 | 10,43 | 35,55 | 34,14 |  | HAFX6R | PATRIARCH CLASSIC DIVIDENDE 4 PLUS A | EUR | 8,45 | 14.10. |  | 11,27 | 10,28 | 19,16 | 39,85 |  | A0M8GW | DB PWM II - ACTIVE ASSET ALLOCATION PORTFOLIO - GROWTH (USD) A | USD | 321,43 | 14.10. |  | 13,32 | 9,93 | 56,32 | 40,53 |  | A3ETCW | HAL SYSTEMATIC US EQUITIES PROTECTED IT | EUR | 116,30 | 13.10. |  | 5,98 | 9,92 | - | - |  | 941135 | MEDICAL BIOHEALTH EUR | EUR | 866,36 | 14.10. |  | 12,73 | 9,74 | 33,14 | 30,22 |  | A40F9Z | HAL EUROPEAN SMALL CAP EQUITIES ID | EUR | 58,81 | 13.10. |  | 14,33 | 9,66 | - | - |  | A3EEEY | HAL SYSTEMATIC US EQUITIES PROTECTED XT | EUR | 130,17 | 13.10. |  | 5,86 | 9,57 | - | - |  | A0F6C4 | HAL EUROPEAN SMALL CAP EQUITIES IA | EUR | 100,38 | 13.10. |  | 14,30 | 9,45 | 50,84 | 39,89 |  | HAFX2Z | HAL MULTI ASSET DYNAMIC RA | EUR | 121,88 | 13.10. |  | 5,03 | 9,20 | 42,36 | 37,45 |  | 988701 | HAL MULTI ASSET DYNAMIC RT | EUR | 152,00 | 13.10. |  | 4,94 | 9,08 | 41,88 | 36,75 |  | 921695 | HAL EUROPEAN SMALL CAP EQUITIES RT | EUR | 173,30 | 13.10. |  | 13,80 | 8,84 | 48,34 | 36,05 |  | 921694 | HAL EUROPEAN SMALL CAP EQUITIES RA | EUR | 110,84 | 13.10. |  | 13,79 | 8,84 | 48,32 | 36,01 |  | HAFX7T | FU FONDS - MULTI ASSET FONDS Z | EUR | 150,55 | 13.10. |  | 3,87 | 8,77 | 24,71 | 40,42 |  | A3EEEX | HAL SYSTEMATIC US EQUITIES PROTECTED RT | EUR | 118,67 | 13.10. |  | 5,28 | 8,76 | - | - |  | A1J5SP | STORM FUND II - STORM BOND FUND NC (NOK) | NOK | 223,58 | 13.10. |  | 6,84 | 8,60 | 35,46 | - |  | A3DEHW | GLOBAL INCOME - INTEREST & DIVIDEND CH-HEDGED | CHF | 10,15 | 14.10. |  | 6,23 | 8,43 | 26,42 | - |  | A0Q5MD | FU FONDS - MULTI ASSET FONDS P | EUR | 306,85 | 13.10. |  | 3,39 | 8,38 | 22,11 | 35,96 |  | HAFX2B | MB FUND - S PLUS | EUR | 103,09 | 14.10. |  | 8,92 | 8,34 | 65,53 | 6,79 |  | A1JZS5 | DB PWM II - ACTIVE ASSET ALLOCATION PORTFOLIO - GROWTH (USD) PF | USD | 188,33 | 14.10. |  | 11,78 | 8,22 | 49,58 | 30,32 |  | A0MZG4 | FFPB MULTITREND PLUS | EUR | 16,49 | 14.10. |  | 7,08 | 8,20 | 28,03 | 17,12 |  |
|
|
|