 |
|
|
| Klicken Sie auf eine Spaltenüberschrift, um zu sortieren. |
|
A2PD7A | LUMYNA - PSAM GLOBAL EVENT UCITS FUND - SEK A3 (ACC) | SEK | 262,02 | 21.11. |  | 1,78 | 2,72 | 11,04 | 14,79 |  | A2PD7F | LUMYNA - PSAM GLOBAL EVENT UCITS FUND - USD A (ACC) | USD | 185,83 | 21.11. |  | 3,70 | 4,86 | 17,31 | - |  | A2PD69 | LUMYNA - PSAM GLOBAL EVENT UCITS FUND - USD A3 (ACC) | USD | 183,17 | 21.11. |  | - | - | 17,36 | - |  | A2PD7R | LUMYNA - PSAM GLOBAL EVENT UCITS FUND - USD B (ACC) | USD | 134,48 | 21.11. |  | 3,73 | 4,90 | 16,70 | - |  | A2PD7U | LUMYNA - PSAM GLOBAL EVENT UCITS FUND - USD C (ACC) | USD | 111,23 | 3.10. |  | 4,84 | 4,57 | 17,78 | - |  | A2PD7N | LUMYNA - PSAM GLOBAL EVENT UCITS FUND - USD E (ACC) | USD | 172,57 | 21.11. |  | 3,30 | 4,41 | 15,97 | - |  | A2PD7X | LUMYNA - PSAM GLOBAL EVENT UCITS FUND - USD Z (ACC) | USD | 132,75 | 21.11. |  | 3,71 | 4,87 | 17,41 | - |  | A3ESWA | PREMIUM FUNDS SICAV - PREMIUM SELECTION AKTIEN CLASS 4X EUR - ACCUMULATION | EUR | 136,71 | 24.11. |  | 4,80 | 3,36 | - | - |  | A3ESVN | PREMIUM FUNDS SICAV - PREMIUM SELECTION ANLEIHEN CLASS 3X EUR - ACCUMULATION | EUR | 108,94 | 24.11. |  | 0,59 | 0,64 | - | - |  | A3ESVP | PREMIUM FUNDS SICAV - PREMIUM SELECTION ANLEIHEN CLASS 4X EUR - ACCUMULATION | EUR | 107,73 | 24.11. |  | -0,08 | -0,12 | - | - |  | A3ESWE | PREMIUM SELECTION AUSGEWOGEN 4X | EUR | 116,66 | 24.11. |  | 2,76 | 2,00 | - | - |  | A3ESV2 | PREMIUM SELECTION DYNAMISCH 4X | EUR | 116,74 | 24.11. |  | 4,28 | 3,15 | - | - |  |
|
|
|