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Gewahlte Kriterien:
KAG: Hauck & Aufhäuser
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HAFX78 | TUNGSTEN TRYCON AI GLOBAL MARKETS E | CHF | 104,39 | 3.7. |  | -2,89 | -1,59 | -0,29 | - |  | A2QJWP | LF - MMT PREMIUM PROTECT VALUE FONDS R | EUR | 110,68 | 3.7. |  | -1,12 | 5,63 | -1,05 | - |  | A2PNY2 | DF DEUTSCHE FINANCE SECURITIES FUND GLOBAL REAL ESTATE INVESTMENT I | EUR | 948,38 | 3.7. |  | 0,35 | -1,98 | -2,00 | 11,72 |  | A2PNY1 | DF DEUTSCHE FINANCE SECURITIES FUND GLOBAL REAL ESTATE INVESTMENT R | EUR | 89,84 | 3.7. |  | 0,06 | -2,56 | -3,93 | 6,52 |  | A2PY77 | ABARIS EMERGING MARKETS EQUITY C USD | USD | 45,21 | 3.7. |  | 9,84 | 20,05 | -4,98 | - |  | HAFX7S | HAL GLOBAL BOND OPPORTUNITIES IA | EUR | 77,69 | 2.7. |  | -4,98 | -2,82 | -7,16 | -20,15 |  | A0JKXY | PATRIARCH SELECT CHANCE B | EUR | 11,32 | 3.7. |  | -6,68 | -3,33 | -7,31 | -0,18 |  | HAFX02 | HAL GLOBAL BOND OPPORTUNITIES RA | EUR | 91,51 | 2.7. |  | -5,11 | -3,28 | -8,30 | -21,61 |  | A1JBVU | LACUNA GLOBAL HEALTH PLUS I | EUR | 1,634,53 | 3.7. |  | 21,94 | 24,02 | -11,34 | -17,38 |  | A0JEKR | LACUNA GLOBAL HEALTH PLUS P | EUR | 178,96 | 3.7. |  | 21,82 | 23,76 | -11,92 | -18,15 |  | A2PH93 | ABARIS EMERGING MARKETS EQUITY C EUR | EUR | 47,87 | 3.7. |  | -3,33 | 11,27 | -12,77 | - |  | A2QHDM | ABARIS EMERGING MARKETS EQUITY C CHF | CHF | 36,34 | 3.7. |  | -2,23 | 9,19 | -16,84 | - |  | A2ARER | LOYS FCP - LOYS AKTIEN EUROPA ITN | EUR | 595,72 | 7.4. |  | -14,43 | -9,30 | -18,52 | 32,79 |  | A3DD2Q | CHINA EQUITY VALUE STRATEGY ID | EUR | 68,51 | 3.7. |  | -6,76 | 1,74 | -33,77 | - |  | HAFX51 | FU FONDS - BONDS MONTHLY INCOME I | EUR | 1,124,80 | 2.7. |  | 2,90 | 8,61 | - | - |  | A401A8 | HAL EURO 0-1 ACTIVE CORE FUND ED | EUR | 100,38 | 2.7. |  | 1,22 | 3,05 | - | - |  | A401A9 | HAL EURO 0-1 ACTIVE CORE FUND ID | EUR | 100,38 | 2.7. |  | 1,24 | 3,08 | - | - |  | A401A7 | HAL EURO 0-1 ACTIVE CORE FUND RD | EUR | 100,38 | 2.7. |  | 1,22 | 3,05 | - | - |  | A40F9Z | HAL EUROPEAN SMALL CAP EQUITIES ID | EUR | 58,87 | 2.7. |  | 14,44 | - | - | - |  | A3DXTN | LF - MMT PREMIUM PROTECT VALUE FONDS I EUR DIS | EUR | 1,086,07 | 3.7. |  | -0,61 | 6,44 | - | - |  |
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