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  WknName   Kurs Datum ytd 1jahr 3jahre 5jahre 

982583

FRANKLIN MUTUAL U.S. VALUE FUND - N (ACC) EUR

EUR

 48,39

29.1.

up

 1,00

 -6,11

 16,21  

 46,77  

chart detail

632763

FRANKLIN MUTUAL U.S. VALUE FUND - N (ACC) USD

USD

 57,90

29.1.

up

 2,82

 7,90

 28,15  

 44,68  

chart detail

A0YB4K

FRANKLIN MUTUAL U.S. VALUE FUND - Z (ACC) USD

USD

 32,20

29.1.

up

 2,94

 9,26

 33,06  

 53,99  

chart detail

A0MR73

FRANKLIN NATURAL RESOURCES FUND - A (ACC) EUR

EUR

 10,05

29.1.

up

 13,82

 24,54

 30,86  

 162,40  

chart detail

A0MR71

FRANKLIN NATURAL RESOURCES FUND - A (ACC) USD

USD

 12,01

29.1.

up

 15,93

 43,15

 44,35  

 158,84  

chart detail

A1JAW9

FRANKLIN NATURAL RESOURCES FUND - A (YDIS) EUR-H1

EUR

 7,99

29.1.

up

 15,80

 40,16

 35,78  

 131,90  

chart detail

A0MR72

FRANKLIN NATURAL RESOURCES FUND - A (YDIS) USD

USD

 12,01

29.1.

up

 15,93

 43,15

 44,35  

 158,84  

chart detail

A0MR76

FRANKLIN NATURAL RESOURCES FUND - I (ACC) EUR

EUR

 11,80

29.1.

up

 14,01

 25,67

 34,40  

 172,52  

chart detail

A0MR74

FRANKLIN NATURAL RESOURCES FUND - N (ACC) EUR

EUR

 8,73

29.1.

up

 13,82

 23,65

 28,01  

 153,04  

chart detail

A3DW3X

FRANKLIN RESPONSIBLE INCOME 2028 FUND - A EUR ACC

EUR

 112,64

29.1.

up

 0,31

 3,41

 13,34  

 -  

chart detail

A3DW34

FRANKLIN RESPONSIBLE INCOME 2028 FUND - A EUR DIS (A)

EUR

 104,82

29.1.

up

 0,32

 3,40

 13,41  

 -  

chart detail

A3DW32

FRANKLIN RESPONSIBLE INCOME 2028 FUND - X EUR ACC

EUR

 113,98

29.1.

up

 0,34

 3,82

 14,69  

 -  

chart detail

A3DW33

FRANKLIN RESPONSIBLE INCOME 2028 FUND - X EUR DIS (A)

EUR

 105,22

29.1.

up

 0,34

 3,82

 14,78  

 -  

chart detail

A2P5CL

FRANKLIN S&P 500 PARIS ALIGNED CLIMATE UCITS ETF

USD

 57,30

29.1.

down

 0,47

 13,16

 79,80  

 97,94  

chart detail

A40YMF

FRANKLIN S&P 500 SCREENED UCITS ETF

USD

 32,99

29.1.

down

 1,75

 -

 -  

 -  

chart detail

A40YMG

FRANKLIN S&P WORLD SCREENED UCITS ETF

USD

 33,73

29.1.

down

 2,56

 -

 -  

 -  

chart detail

A40NCM

FRANKLIN SAUDI ARABIA BOND FUND - P1 (ACC) USD

USD

 10,81

29.1.

no change

 -0,28

 8,64

 -  

 -  

chart detail

A40NCR

FRANKLIN SAUDI ARABIA BOND FUND - P1 (MDIS) USD

USD

 10,14

29.1.

no change

 -0,32

 8,56

 -  

 -  

chart detail

A40NCP

FRANKLIN SAUDI ARABIA BOND FUND - P2 (ACC) USD

USD

 10,78

29.1.

no change

 -0,28

 8,34

 -  

 -  

chart detail

A40NCU

FRANKLIN SAUDI ARABIA BOND FUND - P2 (MDIS) USD

USD

 10,11

29.1.

no change

 -0,23

 8,25

 -  

 -  

chart detail
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