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Gewahlte Kriterien:
Fondstyp: Gemischter Fonds
| Unterkategorie: Mischfonds/ausgewogen
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A2QK0R | INVESCO ASIA ASSET ALLOCATION FUND A (AUD HEDGED) MONTHLY DISTRIBUTION-1 | AUD | 4,09 | 17.4. |  | -0,45 | 6,50 | -7,48 | -10,62 |  | A3CX5U | INVESCO ASIA ASSET ALLOCATION FUND A (CAD HEDGED) MONTHLY DISTRIBUTION-1 | CAD | 4,40 | 17.4. |  | -0,21 | 7,21 | -4,77 | -7,42 |  | A3D94R | INVESCO ASIA ASSET ALLOCATION FUND A (CZK HEDGED) ACCUMULATION | CZK | 275,74 | 17.4. |  | -0,11 | 7,21 | -0,44 | - |  | A1CV2S | INVESCO ASIA ASSET ALLOCATION FUND A (EUR HEDGED) ACCUMULATION | EUR | 10,51 | 17.4. |  | -0,28 | 6,48 | -8,69 | -12,85 |  | A117PP | INVESCO ASIA ASSET ALLOCATION FUND A (EUR HEDGED) ANNUAL DISTRIBUTION | EUR | 5,50 | 17.4. |  | -0,26 | 6,56 | -8,70 | -12,80 |  | A3CX5V | INVESCO ASIA ASSET ALLOCATION FUND A (NZD HEDGED) MONTHLY DISTRIBUTION-1 | NZD | 4,25 | 17.4. |  | -0,24 | 7,51 | -4,60 | -6,86 |  | A0RBEU | INVESCO ASIA ASSET ALLOCATION FUND A ACCUMULATION - USD | USD | 22,53 | 17.4. |  | 0,45 | 8,63 | -1,70 | -3,59 |  | A117PN | INVESCO ASIA ASSET ALLOCATION FUND A ANNUAL DISTRIBUTION - EUR | EUR | 8,07 | 17.4. |  | -7,92 | 1,76 | -6,55 | -7,98 |  | A3CX5W | INVESCO ASIA ASSET ALLOCATION FUND A FIXED MONTHLY DISTRIBUTION - USD | USD | 7,48 | 17.4. |  | 0,34 | 8,52 | -1,79 | -3,59 |  | A117PQ | INVESCO ASIA ASSET ALLOCATION FUND A MONTHLY DISTRIBUTION - HKD | HKD | 68,07 | 17.4. |  | 0,40 | 7,69 | -2,69 | -3,44 |  | A1XACZ | INVESCO ASIA ASSET ALLOCATION FUND A MONTHLY DISTRIBUTION - USD | USD | 7,33 | 17.4. |  | 0,45 | 8,67 | -1,67 | -3,52 |  | A3CX5Z | INVESCO ASIA ASSET ALLOCATION FUND A MONTHLY DISTRIBUTION-1 - HKD | HKD | 63,91 | 17.4. |  | 0,39 | 7,69 | -2,71 | - |  | A3CX5S | INVESCO ASIA ASSET ALLOCATION FUND A MONTHLY DISTRIBUTION-1 - USD | USD | 5,17 | 17.4. |  | 0,41 | 8,74 | -1,71 | -3,49 |  | A1JSF8 | INVESCO ASIA ASSET ALLOCATION FUND A QUARTERLY DISTRIBUTION - HKD | HKD | 89,29 | 17.4. |  | 0,39 | 7,70 | -2,71 | -3,45 |  | A0RBCZ | INVESCO ASIA ASSET ALLOCATION FUND A QUARTERLY DISTRIBUTION - USD | USD | 11,45 | 17.4. |  | 0,36 | 8,59 | -1,79 | -3,63 |  | A1CV2T | INVESCO ASIA ASSET ALLOCATION FUND C (EUR HEDGED) ACCUMULATION | EUR | 14,82 | 17.4. |  | -0,07 | 7,08 | -7,26 | -10,40 |  | A0RBEV | INVESCO ASIA ASSET ALLOCATION FUND C ACCUMULATION - USD | USD | 24,92 | 17.4. |  | 0,56 | 9,20 | -0,12 | -0,91 |  | A3CX5X | INVESCO ASIA ASSET ALLOCATION FUND C MONTHLY DISTRIBUTION - USD | USD | 8,22 | 17.4. |  | 0,52 | 9,21 | -0,15 | -1,00 |  | A1JRQP | INVESCO ASIA ASSET ALLOCATION FUND E ACCUMULATION - EUR | EUR | 14,99 | 17.4. |  | -8,09 | 1,22 | -8,04 | -10,35 |  | A3D94U | INVESCO ASIA ASSET ALLOCATION FUND I MONTHLY DISTRIBUTION-1 - USD | USD | 8,05 | 17.4. |  | 0,91 | 10,30 | 3,12 | - |  |
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