Gewahlte Kriterien:
Fondstyp: Aktienfonds
| Anlageregion: weltweit
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A2H9VN | LOOMIS SAYLES GLOBAL GROWTH EQUITY FUND I/A (EUR) | EUR | 237,29 | 30.1. |  | -2,97 | -5,83 | 56,54 | 49,16 |  | A2H93E | LOOMIS SAYLES GLOBAL GROWTH EQUITY FUND R/A (EUR) | EUR | 235,30 | 30.1. |  | -3,03 | -6,58 | 52,89 | 43,39 |  | A3E1RG | LOOMIS SAYLES GLOBAL GROWTH EQUITY FUND S/A (USD) | USD | 172,53 | 30.1. |  | -1,70 | 7,61 | - | - |  | A2DTRJ | LORD ABBETT GLOBAL EQUITY FUND - CLASS A USD | USD | 27,58 | 30.1. |  | 2,15 | 18,88 | 67,35 | 65,65 |  | A2DTRK | LORD ABBETT GLOBAL EQUITY FUND - CLASS I USD | USD | 18,48 | 30.1. |  | 2,21 | 20,00 | 71,91 | - |  | A3D4WU | LORD ABBETT GLOBAL EQUITY FUND - CLASS IF GBP | GBP | 15,85 | 30.1. |  | 0,19 | 9,31 | 56,62 | - |  | A3D4WV | LORD ABBETT GLOBAL EQUITY FUND - CLASS IF GBP (HEDGED) | GBP | 17,19 | 30.1. |  | 2,20 | 19,54 | 70,03 | - |  | A3D4WW | LORD ABBETT GLOBAL EQUITY FUND - CLASS IF USD | USD | 17,55 | 30.1. |  | 2,27 | 20,37 | 73,59 | - |  | A2DTRL | LORD ABBETT GLOBAL EQUITY FUND - CLASS N USD | USD | 26,15 | 30.1. |  | 2,07 | 18,27 | 64,78 | 61,12 |  | A2DTRM | LORD ABBETT GLOBAL EQUITY FUND - CLASS Z USD | USD | 18,40 | 30.1. |  | 2,22 | 19,79 | 71,16 | - |  | A2PUSH | LOYS FCP - LOYS PREMIUM DIVIDENDE I | EUR | 432,03 | 30.1. |  | -0,84 | -1,41 | 0,23 | 1,77 |  | A2P06P | LOYS FCP - LOYS PREMIUM DIVIDENDE ITN | EUR | 828,43 | 30.1. |  | -0,85 | -1,56 | -0,31 | -0,04 |  | A2PUSG | LOYS FCP - LOYS PREMIUM DIVIDENDE P | EUR | 40,77 | 30.1. |  | -0,90 | -2,15 | -2,10 | -3,98 |  | A2PV2U | LOYS FCP - LOYS PREMIUM DIVIDENDE PT | EUR | 48,90 | 30.1. |  | -0,93 | -2,16 | -2,30 | -4,92 |  | A2ARPQ | LOYS SICAV - LOYS GLOBAL ITN | EUR | 498,20 | 30.1. |  | -2,43 | -20,23 | -9,73 | -7,50 |  | 926229 | LOYS SICAV - LOYS GLOBAL P | EUR | 25,16 | 30.1. |  | -2,40 | -20,93 | -12,18 | -9,85 |  | A0M5SE | LOYS SICAV - LOYS GLOBAL PAN | EUR | 20,03 | 30.1. |  | -2,53 | -21,45 | -13,71 | -12,25 |  | A0LFXD | LOYS SICAV - LOYS GLOBAL S | EUR | 978,48 | 30.1. |  | -2,36 | -20,21 | -9,67 | -5,50 |  | A3CV33 | LUMYNA - MW TOPS UCITS FUND - CHF B (ACC) | CHF | 201,92 | 27.1. |  | 3,56 | 14,91 | - | - |  | A3CV4G | LUMYNA - MW TOPS UCITS FUND - CHF D (ACC) | CHF | 192,24 | 27.1. |  | 3,53 | 14,47 | - | - |  |
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