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Gewahlte Kriterien:
KAG: Lombard Odier F.(EU)
Fondstyp: alle
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A2DJ0W | LO FUNDS - ALL ROADS GROWTH, (EUR) MD | EUR | 12,71 | 28.11. | | 9,56 | 14,22 | - | - | | A2DJ0V | LO FUNDS - ALL ROADS GROWTH, (EUR) MA | EUR | 14,67 | 28.11. | | 9,56 | 14,22 | - | - | | A2P2EE | LO FDS.PLANETARY TRANS.SYST.X1MD EUR H | EUR | 16,18 | 28.11. | | 9,55 | 15,78 | - | - | | A2P2ED | LO FDS.PLANETARY TRANS.X1.SYST.MA EUR H | EUR | 16,65 | 28.11. | | 9,54 | 15,77 | - | - | | A2PY1H | LO FDS.PLANETARY TRAN.SYST.SEED MD EUR H | EUR | 16,17 | 28.11. | | 9,50 | 15,72 | - | - | | A1J77T | LO FUNDS - GLOBAL BBB-BB FUNDAMENTAL, (CHF) PA | CHF | 10,13 | 28.11. | | 9,50 | 10,31 | -12,91 | -14,66 | | A2PY1G | LO FDS.PLANETARY TRAN.SYST.SEED MA EUR H | EUR | 16,61 | 28.11. | | 9,49 | 15,71 | - | - | | A1W77J | LO FUNDS - CONVERTIBLE BOND, SYST. NAV HDG, (USD) MA | USD | 14,66 | 28.11. | | 9,46 | 13,24 | - | - | | A1W77K | LO FUNDS - CONVERTIBLE BOND, SYST. NAV HDG, (USD) MD | USD | 33,58 | 28.11. | | 9,46 | 13,24 | - | - | | A2DVE2 | LO FUNDS - TRANSITION MATERIALS, (EUR) NA | EUR | 16,56 | 28.11. | | 9,46 | 10,42 | - | - | | A2PHVU | LO FUNDS - SWISS EQUITY, X1, (CHF) MD | CHF | 17,13 | 28.11. | | 9,44 | 14,00 | - | - | | A2PHVT | LO FUNDS - SWISS EQUITY, X1, (CHF) MA | CHF | 18,90 | 28.11. | | 9,44 | 14,00 | - | - | | A2DLKV | LO FUNDS - GOLDEN AGE, (EUR) PA | EUR | 16,79 | 28.11. | | 9,43 | 17,94 | - | - | | A2JJEK | LO FUNDS - GLOBAL BBB-BB FUNDAMENTAL, (EUR) PD | EUR | 12,02 | 28.11. | | 9,25 | 14,20 | - | - | | A2PY07 | LO FDS.PLANETARY TRANS.SYST.NA EUR H | EUR | 16,42 | 28.11. | | 9,25 | 15,44 | - | - | | A1J2EQ | LO FUNDS - GLOBAL BBB-BB FUNDAMENTAL, (EUR) PA | EUR | 13,30 | 28.11. | | 9,23 | 14,17 | -2,58 | 0,65 | | A2H5D5 | LO FUNDS - CONVERTIBLE BOND, SYST. NAV HDG, (GBP) ND | GBP | 11,99 | 28.11. | | 9,23 | 12,95 | - | - | | A2AL46 | LO FUNDS - CONVERTIBLE BOND, SYST. NAV HDG, (GBP) NA | GBP | 12,03 | 28.11. | | 9,23 | 12,95 | - | - | | A2DPR5 | LO FUNDS - SWISS EQUITY, (CHF) IA | CHF | 18,85 | 28.11. | | 9,19 | 13,71 | - | - | | A116PG | LO FUNDS - SWISS EQUITY, (CHF) NA | CHF | 18,79 | 28.11. | | 9,15 | 13,67 | - | - | |
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