 |
|
Klicken Sie auf eine Spaltenüberschrift, um zu sortieren. |
|
A2PX1Q | DIRK MÜLLER PREMIUM AKTIEN CHF | CHF | 89,65 | 4.7. |  | -0,57 | -1,39 | -5,02 | - |  | A111ZF | DIRK MÜLLER PREMIUM AKTIEN EURO | EUR | 89,59 | 4.7. |  | -0,03 | 2,68 | 0,53 | -5,43 |  | A2PX1T | DIRK MÜLLER PREMIUM AKTIEN OFFENSIV | EUR | 127,55 | 4.7. |  | -9,31 | 0,05 | - | - |  | A2DJU4 | ÖKOBASIS ONE WORLD PROTECT R | EUR | 107,91 | 4.7. |  | -4,28 | -1,07 | -3,09 | -5,92 |  | A2DJU5 | ÖKOBASIS ONE WORLD PROTECT S | EUR | 98,07 | 4.7. |  | -3,98 | -0,48 | -1,29 | -3,02 |  | A2AJGR | WARBURG - LIQUID ALTERNATIVES A | EUR | 89,88 | 4.7. |  | -3,55 | 2,11 | 14,14 | 19,94 |  | A2PX1V | WARBURG - LIQUID ALTERNATIVES E | EUR | 108,05 | 4.7. |  | -3,28 | 2,67 | - | - |  | A111ZE | WARBURG - LIQUID ALTERNATIVES I | EUR | 124,43 | 4.7. |  | -3,55 | 2,14 | 14,25 | 20,11 |  | 976539 | WARBURG - LIQUID ALTERNATIVES R | EUR | 30,37 | 4.7. |  | -3,80 | 1,57 | 12,23 | 16,58 |  | A2DJUZ | WARBURG - MULTI-ASSET - SELECT - FONDS P | EUR | 124,77 | 4.7. |  | -1,57 | 2,73 | 16,21 | - |  | 976530 | WARBURG - MULTI-ASSET - SELECT - FONDS R | EUR | 86,80 | 4.7. |  | -1,64 | 2,52 | 15,58 | 20,09 |  | A0LGSG | WARBURG - SMALL&MIDCAPS DEUTSCHLAND I | EUR | 246,95 | 4.7. |  | 13,98 | 6,05 | 5,11 | 3,83 |  | A0RHE2 | WARBURG - SMALL&MIDCAPS DEUTSCHLAND R | EUR | 226,78 | 4.7. |  | 13,53 | 5,22 | 2,55 | -0,31 |  | A0MS7S | WARBURG - SMALL&MIDCAPS EUROPA I | EUR | 120,51 | 4.7. |  | 10,97 | 6,92 | 14,05 | 21,87 |  | A0LGSA | WARBURG - SMALL&MIDCAPS EUROPA R | EUR | 98,09 | 4.7. |  | 10,52 | 6,08 | 11,24 | 17,34 |  | A1W2BS | WARBURG GLOBAL FIXED INCOME I | EUR | 40,71 | 4.7. |  | -0,66 | 2,75 | 5,65 | 0,58 |  | 978473 | WARBURG GLOBAL FIXED INCOME R | EUR | 43,45 | 4.7. |  | -0,82 | 2,43 | 4,67 | -0,93 |  | A2PX1U | WARBURG GLOBAL FIXED INCOME S | EUR | 10,499,97 | 4.7. |  | -0,51 | 3,06 | - | - |  | A12BTT | WARBURG INVEST RESPONSIBLE - CORPORATE BONDS FUND B | EUR | 98,97 | 4.7. |  | 2,21 | 6,40 | 13,66 | 4,27 |  | A111ZL | WARBURG INVEST RESPONSIBLE - CORPORATE BONDS FUND I | EUR | 94,79 | 4.7. |  | 2,14 | 6,27 | 13,27 | 3,69 |  |
|
|
|