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A2PCM2 | AMUNDI FDS.EUROLAND EQ.P2 USD | USD | 90,96 | 14.11. | | 1,80 | 11,54 | 8,23 | 45,51 | | DWS18K | BETHMANN AKTIEN NACHHALTIGKEIT A | EUR | 181,19 | 14.11. | | 13,62 | 17,95 | 4,71 | 45,51 | | A1LK8 | LLB AKTIEN GLOBAL ESG V | EUR | 189,66 | 15.11. | | 17,50 | 22,24 | 22,34 | 45,51 | | A1LK7 | LLB AKTIEN GLOBAL ESG T | EUR | 180,81 | 15.11. | | 17,50 | 22,23 | 22,33 | 45,51 | | A2N8J8 | JPMORGAN FUNDS - GLOBAL NATURAL RESOURCES FUND F (ACC) - USD | USD | 155,97 | 14.11. | | -0,89 | 4,47 | 15,69 | 45,51 | | A1LK6 | LLB AKTIEN GLOBAL ESG A | EUR | 179,08 | 15.11. | | 17,50 | 22,24 | 22,33 | 45,50 | | A1XBF8 | FIRST EAGLE AMUNDI INTERN.FD.RE EUR | EUR | 125,46 | 14.11. | | 18,30 | 22,10 | 24,64 | 45,50 | | A14ZV2 | ISHARES MSCI SAUDI ARABIA CAP.UE USD | USD | 6,26 | 14.11. | | -1,68 | 7,98 | -3,30 | 45,50 | | A2AF82 | SYCOMORE SELECTION RESPONSABLE A | EUR | 175,12 | 14.11. | | 12,31 | 19,76 | 6,65 | 45,50 | | A12G2Y | FRANKLIN TEMPLETON INVESTMENT FUNDS FRANKLIN DIVERSIFIED DYNAMIC FUND KLASSE A (ACC) EUR | EUR | 18,55 | 14.11. | | 12,36 | 18,83 | 12,42 | 45,49 | | A0J2Z2 | MFS MERIDIAN FUNDS - CONTINENTAL EUROPEAN EQUITY FUND - KLASSE I1 GBP | GBP | 473,24 | 14.11. | | 3,64 | 8,31 | 9,56 | 45,49 | | A1JRLV | MORGAN STANLEY INVESTMENT FUNDS GLOBAL BRANDS FUND - ZH (GBP) | GBP | 84,54 | 14.11. | | 10,25 | 17,08 | 6,68 | 45,48 | | A0JJ0H | SCHRODER INTERNATIONAL SELECTION FUND GLOBAL EQUITY YIELD I ACCUMULATION EUR | EUR | 331,59 | 15.11. | | 10,08 | 14,94 | 25,58 | 45,47 | | A2JK2K | 2XIDEAS UCITS - GLOBAL MID CAP LIBRARY FUND S USD | USD | 166,37 | 14.11. | | 7,89 | 20,00 | -13,46 | 45,47 | | A12G2U | FRANKLIN TEMPLETON INVESTMENT FUNDS FRANKLIN DIVERSIFIED DYNAMIC FUND KLASSE A (YDIS) EUR | EUR | 14,64 | 14.11. | | 12,33 | 18,85 | 12,37 | 45,47 | | A0LASD | PICTET - SECURITY - P USD | USD | 390,53 | 14.11. | | 17,61 | 31,66 | -5,77 | 45,47 | | A2JAEH | DWS STRATEGIC ESG ALLOCATION DYNAMIC LD | EUR | 154,67 | 14.11. | | 16,39 | 22,32 | 11,98 | 45,46 | | A0LASE | PICTET - SECURITY - P DY USD | USD | 390,51 | 14.11. | | 17,61 | 31,66 | -5,77 | 45,46 | | A1CSHK | GAM STAR GLOBAL RATES A ACC - EUR | EUR | 14,76 | 14.11. | | 0,23 | 1,56 | 19,03 | 45,45 | | A1W9A3 | PROFITLICHSCHMIDLIN FONDS UI - ANTEILKLASSE I | EUR | 1,857,08 | 14.11. | | 9,12 | 17,00 | 9,23 | 45,45 | |
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