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Gewahlte Kriterien:
KAG: Hauck & Aufhäuser
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A0M8GW | DB PWM II - ACTIVE ASSET ALLOCATION PORTFOLIO - GROWTH (USD) A | USD | 309,49 | 3.7. |  | 9,11 | 12,01 | 40,49 | 44,76 |  | HAFX6Q | PATRIARCH CLASSIC TSI B | EUR | 22,59 | 3.7. |  | 4,49 | 6,16 | 32,01 | 44,03 |  | A0M98B | EUROSWITCH WORLD PROFILE STARLUX R | EUR | 100,48 | 3.7. |  | 9,31 | 26,31 | 35,58 | 39,94 |  | HAFX6R | PATRIARCH CLASSIC DIVIDENDE 4 PLUS A | EUR | 8,04 | 3.7. |  | 4,84 | 3,25 | 12,58 | 39,90 |  | HAFX7T | FU FONDS - MULTI ASSET FONDS Z | EUR | 138,74 | 2.7. |  | -4,28 | 2,90 | 21,38 | 38,04 |  | HAFX2Z | HAL MULTI ASSET DYNAMIC RA | EUR | 114,44 | 2.7. |  | -1,38 | 3,71 | 31,97 | 36,80 |  | 988701 | HAL MULTI ASSET DYNAMIC RT | EUR | 142,76 | 2.7. |  | -1,44 | 3,59 | 31,48 | 36,12 |  | HAFX6N | ROBUS VALUE BOND FUND C II | EUR | 84,92 | 3.7. |  | 5,24 | 7,78 | 19,16 | 36,11 |  | HAFX75 | ROBUS VALUE BOND FUND C I | EUR | 129,52 | 3.7. |  | 5,28 | 7,83 | 19,27 | 36,09 |  | HAFX9M | FU FONDS - BONDS MONTHLY INCOME P | EUR | 100,29 | 2.7. |  | 2,58 | 7,94 | 30,90 | 35,01 |  | A1JZS5 | DB PWM II - ACTIVE ASSET ALLOCATION PORTFOLIO - GROWTH (USD) PF | USD | 182,97 | 3.7. |  | 8,60 | 9,97 | 35,27 | 34,65 |  | A0Q5MD | FU FONDS - MULTI ASSET FONDS P | EUR | 283,21 | 2.7. |  | -4,57 | 2,51 | 18,69 | 33,95 |  | A2ARER | LOYS FCP - LOYS AKTIEN EUROPA ITN | EUR | 595,72 | 7.4. |  | -14,43 | -9,30 | -18,52 | 32,79 |  | A0M5RD | AKTIENSTRATEGIE MULTIMANAGER | EUR | 112,51 | 3.7. |  | -4,03 | 2,68 | 18,13 | 31,56 |  | HAFX69 | LOYS FCP - LOYS AKTIEN EUROPA I | EUR | 899,17 | 2.7. |  | -3,55 | -0,93 | 5,76 | 31,11 |  | HAFX5A | VCH EXPERT NATURAL RESOURCES C | EUR | 1,119,62 | 3.7. |  | 15,46 | 21,25 | 33,28 | 30,88 |  | HAFX6M | ROBUS VALUE BOND FUND A | EUR | 84,38 | 3.7. |  | 4,61 | 6,98 | 16,52 | 30,85 |  | A0M8GU | DB PWM II - ACTIVE ASSET ALLOCATION PORTFOLIO - CORE (USD) A | USD | 242,34 | 3.7. |  | 7,57 | 9,97 | 29,87 | 29,09 |  | HAFX4X | PRIME VALUES EQUITY A | EUR | 181,77 | 3.7. |  | 0,45 | 4,71 | 25,28 | 28,28 |  | HAFX20 | SWITZERLAND INVEST - FIXED INCOME HIGH YIELD HAIG B | EUR | 20,16 | 3.7. |  | -0,25 | 5,99 | 12,37 | 28,00 |  |
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