 |
|
|
| Klicken Sie auf eine Spaltenüberschrift, um zu sortieren. |
|
A2AQVR | ASSENAGON CREDIT SELECTION ESG (I CHF) | CHF | 989,89 | 2.3. |  | 0,57 | - | - | - |  | A1KDFD | ASSENAGON CREDIT SELECTION ESG (I) | EUR | 919,36 | 2.3. |  | 0,93 | 4,04 | 21,06 | 17,65 |  | A2AQVQ | ASSENAGON CREDIT SELECTION ESG (I2) | EUR | 1,097,08 | 2.3. |  | 0,93 | 4,02 | - | - |  | A2DGF0 | ASSENAGON CREDIT SELECTION ESG (I2R) | EUR | 1,188,13 | 2.3. |  | 0,89 | 3,82 | - | - |  | A2QAXQ | ASSENAGON CREDIT SELECTION ESG (I2S CHF) | CHF | 1,133,69 | 2.3. |  | 0,62 | 1,96 | 13,73 | 10,03 |  | A1KDFE | ASSENAGON CREDIT SELECTION ESG (P) | EUR | 44,39 | 2.3. |  | 0,82 | 3,44 | 19,10 | 14,52 |  | A2AQVT | ASSENAGON CREDIT SELECTION ESG (P2) | EUR | 55,51 | 2.3. |  | 0,80 | 3,39 | - | - |  | A2AQVU | ASSENAGON CREDIT SELECTION ESG (R) | EUR | 49,31 | 2.3. |  | 0,90 | 3,96 | 20,88 | 17,44 |  | A2AQVX | ASSENAGON CREDIT SELECTION ESG (R2 CHF) | CHF | 56,55 | 2.3. |  | 0,59 | 1,93 | 13,55 | 9,74 |  | A2AQVV | ASSENAGON CREDIT SELECTION ESG (RM) | EUR | 50,96 | 2.3. |  | 0,93 | 3,99 | 20,93 | 17,44 |  | A2P13G | ASSENAGON FUNDS VALUE SIZE GLOBAL (I2) | EUR | 2,132,13 | 2.3. |  | 5,94 | 15,79 | 44,17 | 72,22 |  | A2P13V | ASSENAGON FUNDS VALUE SIZE GLOBAL (P) | EUR | 69,38 | 2.3. |  | 5,76 | 14,65 | - | - |  | A2P13W | ASSENAGON FUNDS VALUE SIZE GLOBAL (P2) | EUR | 61,83 | 2.3. |  | 5,76 | 14,65 | - | - |  | A2P13X | ASSENAGON FUNDS VALUE SIZE GLOBAL (R) | EUR | 71,26 | 2.3. |  | 5,95 | 15,75 | - | - |  | A2P13Z | ASSENAGON FUNDS VALUE SIZE GLOBAL (RS) | EUR | 96,95 | 2.3. |  | 5,98 | 15,98 | 44,79 | 73,15 |  | A40G0K | ASSENAGON I MULTI ASSET BALANCED (I STIFTUNG) | EUR | 1,149,33 | 27.2. |  | 6,03 | 18,34 | - | - |  | A41SND | ASSENAGON I MULTI ASSET BALANCED (I) | EUR | 1,072,19 | 27.2. |  | 6,05 | - | - | - |  | A3CPWB | ASSENAGON I MULTI ASSET BALANCED (I2) | EUR | 1,347,01 | 27.2. |  | 6,06 | 18,44 | 49,78 | - |  | A41P02 | ASSENAGON I MULTI ASSET BALANCED (N) | EUR | 53,50 | 27.2. |  | 5,92 | - | - | - |  | A40G0J | ASSENAGON I MULTI ASSET BALANCED (P STIFTUNG) | EUR | 57,05 | 27.2. |  | 5,92 | 17,83 | - | - |  |
|
|
|