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A1DJY | NDR ACTIVE ALLOCATION - KATHREIN FUND (S) (T) | EUR | 151,47 | 20.1. |  | 1,33 | 5,07 | 29,25 | 24,93 |  | A190N | FOCUS GLOBALE AKTIEN (RA) | EUR | 145,88 | 19.1. |  | 3,72 | 2,69 | 29,25 | 25,82 |  | DWS270 | DB CONSERVATIVE SAA (USD) PLUS USD WAMC | USD | 13,300,77 | 20.1. |  | 0,04 | 11,78 | 29,25 | 17,79 |  | A1KC79 | FRANKLIN GLOBAL FUNDAMENTAL STRATEGIES FUND - N (YDIS) EUR | EUR | 15,07 | 20.1. |  | 0,20 | 0,53 | 29,25 | 22,22 |  | A2QQCN | TWELVE CAPITAL UCITS ICAV - TWELVE CAT BOND FUND P CHF ACC | CHF | 124,38 | 16.1. |  | 0,06 | 4,83 | 29,24 | - |  | A3CPQZ | SCHRODER GAIA OAKTREE CREDIT A2 USD ACCUMULATION | USD | 123,85 | 20.1. |  | 0,48 | 6,02 | 29,24 | - |  | A1CU9W | BL GLOBAL 50 KLASSE AR | EUR | 172,01 | 19.1. |  | 3,60 | 15,09 | 29,23 | 31,62 |  | A2JG9F | UBS (LUX) BOND SICAV - USD HIGH YIELD (USD), ANTEILSKLASSE K-X-ACC, USD | USD | 140,62 | 16.1. |  | 0,69 | 8,91 | 29,23 | 26,06 |  | DWS2R3 | DWS INVEST II ESG EUROPEAN TOP DIVIDEND TFD | EUR | 116,75 | 20.1. |  | -1,17 | 14,00 | 29,23 | 40,87 |  | A1J4LZ | JANUS HENDERSON HORIZON EURO HIGH YIELD BOND FUND A2 HUSD | USD | 212,55 | 20.1. |  | 0,34 | 7,19 | 29,23 | 19,00 |  | A2PVNP | NOMURA FUNDS IRELAND PLC - AMERICAN CENTURY GLOBAL SMALL CAP EQUITY FUND CLASS F EUR | EUR | 181,69 | 20.1. |  | 4,76 | 1,28 | 29,23 | 20,03 |  | A0YFQ9 | BKC TREUHAND PORTFOLIO - ANTEILKLASSE I | EUR | 123,91 | 20.1. |  | 2,72 | 11,13 | 29,23 | 23,15 |  | A1T8SU | BNP PARIBAS FUNDS LOCAL EMERGING BOND PRIVILEGE CAPITALISATION | USD | 90,33 | 19.1. |  | 0,56 | 20,44 | 29,23 | 7,92 |  | A3C29A | CT (LUX) EUROPEAN SELECT ZE EUR | EUR | 11,59 | 20.1. |  | 2,77 | 4,03 | 29,23 | - |  | A2PH8C | PGIM BROAD MARKET U.S. HIGH YIELD BOND FUND USD W ACCUMULATION | USD | 155,74 | 20.1. |  | 0,41 | 8,26 | 29,23 | 23,76 |  | PICT13 | PICTET TR - ATLAS TITAN - HI JPY | JPY | 14,061,00 | 16.1. |  | 3,16 | 13,70 | 29,23 | 35,23 |  | A0YGKB | PICTET - GLOBAL HIGH YIELD - I USD | USD | 229,71 | 20.1. |  | 0,49 | 9,07 | 29,22 | 19,70 |  | A1XAFS | PICTET - GLOBAL HIGH YIELD - I DY USD | USD | 118,12 | 20.1. |  | 0,48 | 9,06 | 29,22 | 19,68 |  | A1T8SV | BNP PARIBAS FUNDS LOCAL EMERGING BOND PRIVILEGE DISTRIBUTION | USD | 41,66 | 19.1. |  | 0,56 | 20,44 | 29,22 | 7,91 |  | A2PPU3 | PGIM BROAD MARKET U.S. HIGH YIELD BOND FUND USD W DISTRIBUTION (Q) | USD | 93,22 | 20.1. |  | 0,41 | 8,26 | 29,22 | 23,77 |  |
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