Gewahlte Kriterien:
Fondstyp: Gemischter Fonds
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A12BJK | PIMCO FUNDS - GLOBAL INVESTORS SERIES PLC - STRATEGIC INCOME FUND T CLASS EUR (HEDGED) INCOME | EUR | 9,80 | 21.10. |  | 8,98 | 7,95 | 26,78 | - |  | A0RFYK | PINEBRIDGE GLOBAL DYNAMIC ASSET ALLOCATION FUND UNIT CLASS A ACCUMULATION USD | USD | 26,82 | 21.10. |  | 12,33 | 11,06 | 33,09 | - |  | A3E212 | PINEBRIDGE GLOBAL DYNAMIC ASSET ALLOCATION FUND UNIT CLASS A5H ACCUMULATION SGD | SGD | 12,34 | 21.10. |  | 10,09 | 8,45 | 25,42 | - |  | A2JKG2 | PINEBRIDGE GLOBAL DYNAMIC ASSET ALLOCATION FUND UNIT CLASS AA ACCUMULATION USD | USD | 16,64 | 21.10. |  | 12,37 | 11,11 | 33,29 | - |  | A2JKG8 | PINEBRIDGE GLOBAL DYNAMIC ASSET ALLOCATION FUND UNIT CLASS ADC DISTRIBUTION USD | USD | 8,49 | 21.10. |  | 12,32 | 11,06 | 20,26 | -6,42 |  | A2N5QC | PINEBRIDGE GLOBAL DYNAMIC ASSET ALLOCATION FUND UNIT CLASS ADCT DISTRIBUTION USD | USD | 8,73 | 21.10. |  | 12,32 | 11,06 | 21,20 | -6,28 |  | A2QEKQ | PINEBRIDGE GLOBAL DYNAMIC ASSET ALLOCATION FUND UNIT CLASS C ACCUMULATION USD | USD | 14,81 | 21.10. |  | 12,02 | 10,71 | 32,23 | 17,18 |  | A2JKG5 | PINEBRIDGE GLOBAL DYNAMIC ASSET ALLOCATION FUND UNIT CLASS Y5H ACCUMULATION SGD | SGD | 137,33 | 21.10. |  | 11,00 | 9,56 | 29,38 | - |  | A2H7Y7 | PIZ FONDS - COLM - HIH CHF | CHF | 104,93 | 17.10. |  | 6,61 | 6,13 | 22,00 | 11,03 |  | 847108 | PLUSFONDS - A - EUR | EUR | 250,80 | 22.10. |  | 7,04 | 8,43 | 42,97 | 70,09 |  | A2PAPP | POLAR CAPITAL FUNDS PLC - GLOBAL ABSOLUTE RETURN FUND EUR I ACC HEDGED | EUR | 152,10 | 21.10. |  | 13,18 | 15,44 | 28,92 | 36,16 |  | A0CWU | PORTFOLIO ANLEIHEN (A) | EUR | 102,41 | 22.10. |  | 3,08 | 3,17 | 12,96 | -7,17 |  | A0CWV | PORTFOLIO ANLEIHEN (T) | EUR | 120,37 | 22.10. |  | 3,08 | 3,16 | 12,99 | -7,16 |  | A0CWW | PORTFOLIO ANLEIHEN (VT) | EUR | 128,24 | 22.10. |  | 3,08 | 3,16 | 12,96 | -7,18 |  | A36HN | PORTFOLIO ECONOMIST (T) EUR | EUR | 115,21 | 22.10. |  | 5,96 | 5,79 | - | - |  | 70754 | PORTFOLIO MANAGEMENT AUSGEWOGEN A | EUR | 135,12 | 22.10. |  | 5,08 | 6,75 | 32,73 | 28,33 |  | 70755 | PORTFOLIO MANAGEMENT AUSGEWOGEN T | EUR | 180,39 | 22.10. |  | 5,08 | 6,75 | 32,73 | 28,32 |  | 70752 | PORTFOLIO MANAGEMENT DYNAMISCH A | EUR | 140,61 | 22.10. |  | 5,47 | 8,00 | 40,89 | 45,39 |  | 70753 | PORTFOLIO MANAGEMENT DYNAMISCH T | EUR | 186,11 | 22.10. |  | 5,48 | 8,00 | 40,89 | 45,39 |  | A2CN9 | PORTFOLIO MANAGEMENT ETHIK MIX SOLIDE (T) | EUR | 124,61 | 22.10. |  | 4,50 | 5,16 | 21,01 | 7,02 |  |
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