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Gewahlte Kriterien:
Fondstyp: Gemischter Fonds
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A2P1FP | BNY MELLON SUST. GL.DYN.BD.FD.E EUR | EUR | 1,06 | 29.11. | | 6,47 | 10,11 | -7,15 | - | | A3C4M4 | BNY MELLON SUST.GL.REAL RET.FD.(EUR)W | USD | 1,01 | 29.11. | | 7,70 | 11,57 | -2,67 | - | | A2QA0N | BNY MELLON SUSTAINABLE GLOBAL REAL RETURN FUND (EUR) EURO G (ACC.) | EUR | 1,10 | 29.11. | | 5,99 | 9,56 | -8,55 | - | | A1H687 | BSF DYNAMIC DIV.GROWTH F.D2 EUR | EUR | 143,10 | 27.11. | | 6,30 | 10,44 | 0,27 | 13,25 | | A1H686 | BSF DYNAMIC DIV.GROWTH F.E2 EUR | EUR | 122,91 | 27.11. | | 5,14 | 9,13 | -3,27 | 6,67 | | A2AEUZ | BSF DYNAMIC DIV.GROWTH F.I2 CAD H | CAD | 143,84 | 28.11. | | 7,30 | 11,48 | 5,33 | - | | A1H53W | BSF DYNAMIC DIV.GROWTH F.I2 EUR | EUR | 148,12 | 28.11. | | 6,55 | 10,60 | 0,99 | 14,64 | | A1CVEH | BSF DYNAMIC DIVERSIFIED GROWTH FUND CLASS A2 EUR | EUR | 130,98 | 27.11. | | 5,62 | 9,67 | -1,81 | 9,36 | | A1JRY1 | BSF DYNAMIC DIVERSIFIED GROWTH FUND CLASS A2 HEDGED SEK | SEK | 132,83 | 28.11. | | 5,30 | 9,05 | -2,40 | - | | A2PL5P | BSF DYNAMIC DIVERSIFIED GROWTH FUND CLASS AI2 EUR | EUR | 110,22 | 28.11. | | 5,64 | 9,56 | -1,79 | 9,41 | | A1KAMH | BSF DYNAMIC DIVERSIFIED GROWTH FUND CLASS I2 HEDGED SEK | SEK | 147,34 | 28.11. | | 6,21 | 10,09 | 0,20 | - | | A2PKPT | BSF DYNAMIC DIVERSIFIED GROWTH FUND CLASS I2 JPY HEDGED | JPY | 11,166,96 | 28.11. | | 3,02 | 6,40 | -5,93 | 7,55 | | A2PW6A | BSF DYNAMIC DIVERSIFIED GROWTH FUND CLASS I2 USD HEDGED | USD | 125,28 | 28.11. | | 8,09 | 12,45 | 7,58 | 25,28 | | A1CVEJ | BSF DYNAMIC DIVERSIFIED GROWTH FUND CLASS X2 EUR | EUR | 159,99 | 28.11. | | 7,09 | 11,21 | 2,66 | 17,83 | | A2JLRH | BSF MANAGED INDEX PF.DEF.A2 GBP H | GBP | 110,99 | 29.11. | | 6,64 | 9,60 | -1,03 | 2,13 | | A1401L | BSF MANAGED INDEX PF.DEF.A2 USD H | USD | 129,17 | 29.11. | | 6,95 | 10,04 | 1,33 | 5,69 | | A14QTN | BSF MANAGED INDEX PF.DEF.D2 CHF H | CHF | 102,21 | 29.11. | | 3,63 | 6,18 | -7,48 | - | | A141ZG | BSF MANAGED INDEX PF.DEF.D2 EUR | EUR | 115,11 | 28.11. | | 5,94 | 9,47 | -3,03 | 0,80 | | A14QTM | BSF MANAGED INDEX PF.DEF.D2 GBP H | GBP | 120,47 | 29.11. | | 7,27 | 10,30 | 0,88 | - | | A3DN59 | BSF MANAGED INDEX PF.DEF.D2 PLN H | PLN | 1,182,86 | 28.11. | | 7,80 | 11,57 | - | - | |
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