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Gewahlte Kriterien:
Fondstyp: Gemischter Fonds
| Anlageregion: weltweit
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A141XU | ALLIANZ DYNAMIC MULTI ASSET STRATEGY SRI 75 - CT - EUR | EUR | 193,14 | 29.11. | | 17,37 | 22,95 | 15,44 | 51,65 | | A117VS | ALLIANZ DYNAMIC MULTI ASSET STRATEGY SRI 75 - I - EUR | EUR | 2,298,69 | 29.11. | | 18,91 | 24,70 | 20,43 | 62,69 | | A40GW7 | ALLIANZ DYNAMIC MULTI ASSET STRATEGY SRI 75 - IT (H2-USD) - USD | USD | 1,028,19 | 29.11. | | - | - | - | - | | A40GD0 | ALLIANZ DYNAMIC MULTI ASSET STRATEGY SRI 75 - P12 - EUR | EUR | 1,052,27 | 29.11. | | - | - | - | - | | A3E3J8 | ALLIANZ DYNAMIC MULTI ASSET STRATEGY SRI 75 - P2 - EUR | EUR | 1,194,33 | 29.11. | | 19,45 | 19,73 | - | - | | A400TZ | ALLIANZ GLOBAL ALLOCATION OPPORTUNITIES - A - EUR | EUR | 103,87 | 29.11. | | - | - | - | - | | A400U3 | ALLIANZ GLOBAL ALLOCATION OPPORTUNITIES - AT - EUR | EUR | 104,00 | 29.11. | | - | - | - | - | | A40GAD | ALLIANZ GLOBAL ALLOCATION OPPORTUNITIES - CT2 - EUR | EUR | 101,36 | 29.11. | | - | - | - | - | | A400U1 | ALLIANZ GLOBAL ALLOCATION OPPORTUNITIES - I - EUR | EUR | 1,045,53 | 29.11. | | - | - | - | - | | A40GAC | ALLIANZ GLOBAL ALLOCATION OPPORTUNITIES - IT - EUR | EUR | 1,014,57 | 29.11. | | - | - | - | - | | A400U0 | ALLIANZ GLOBAL ALLOCATION OPPORTUNITIES - P - EUR | EUR | 1,043,74 | 29.11. | | - | - | - | - | | A40BCJ | ALLIANZ GLOBAL ALLOCATION OPPORTUNITIES - W26 - EUR | EUR | 106,005,30 | 29.11. | | - | - | - | - | | A400U4 | ALLIANZ GLOBAL ALLOCATION OPPORTUNITIES - W9 - EUR | EUR | 1,047,74 | 29.11. | | - | - | - | - | | A400U2 | ALLIANZ GLOBAL ALLOCATION OPPORTUNITIES - WT (H-EUR) - EUR | EUR | 1,033,72 | 29.11. | | - | - | - | - | | 73921 | ALLIANZ INVEST ESG DYNAMISCH A EUR | EUR | 17,09 | 29.11. | | 18,01 | 23,27 | 3,42 | 29,05 | | 80923 | ALLIANZ INVEST ESG DYNAMISCH T EUR | EUR | 23,83 | 29.11. | | 17,98 | 23,20 | 3,44 | 29,07 | | 73920 | ALLIANZ INVEST ESG KLASSISCH A EUR | EUR | 14,41 | 29.11. | | 10,59 | 15,47 | -1,52 | 15,57 | | 80925 | ALLIANZ INVEST ESG KLASSISCH T EUR | EUR | 21,96 | 29.11. | | 10,52 | 15,40 | -1,54 | 15,60 | | 73919 | ALLIANZ INVEST ESG KONSERVATIV A EUR | EUR | 13,27 | 29.11. | | 7,66 | 12,06 | -1,31 | 6,71 | | 80924 | ALLIANZ INVEST ESG KONSERVATIV T EUR | EUR | 22,18 | 29.11. | | 7,57 | 12,02 | -1,35 | 6,63 | |
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