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Gewahlte Kriterien:
Fondstyp: Gemischter Fonds
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A1JSFM | FRANKLIN TEMPLETON INVESTMENT FUNDS FRANKLIN GLOBAL FUNDAMENTAL STRATEGIES FUND KLASSE N (ACC) PLN-H1 | PLN | 16,46 | 1.5. |  | 0,37 | 6,26 | 18,16 | - |  | A1W1TN | FRANKLIN TEMPLETON INVESTMENT FUNDS FRANKLIN GLOBAL FUNDAMENTAL STRATEGIES FUND KLASSE N (ACC) USD | USD | 11,63 | 1.5. |  | 0,00 | 5,63 | 15,95 | 22,94 |  | A1KC79 | FRANKLIN TEMPLETON INVESTMENT FUNDS FRANKLIN GLOBAL FUNDAMENTAL STRATEGIES FUND KLASSE N (YDIS) EUR | EUR | 13,47 | 1.5. |  | -8,24 | 0,00 | 7,93 | 19,54 |  | A2DN1S | FRANKLIN TEMPLETON INVESTMENT FUNDS FRANKLIN GLOBAL FUNDAMENTAL STRATEGIES FUND KLASSE W (ACC) EUR | EUR | 11,41 | 1.5. |  | -7,69 | 1,69 | 13,53 | 30,10 |  | A2DN1T | FRANKLIN TEMPLETON INVESTMENT FUNDS FRANKLIN GLOBAL FUNDAMENTAL STRATEGIES FUND KLASSE W (ACC) EUR-H1 | EUR | 10,03 | 1.5. |  | 0,10 | 5,80 | 12,70 | 20,12 |  | A2DN1V | FRANKLIN TEMPLETON INVESTMENT FUNDS FRANKLIN GLOBAL FUNDAMENTAL STRATEGIES FUND KLASSE W (YDIS) EUR | EUR | 9,81 | 1.5. |  | -7,71 | 1,82 | 13,53 | 30,02 |  | A35XQ | FROOTS MULTI ASSET §14 FONDS P | EUR | 109,69 | 2.5. |  | -1,07 | 4,43 | - | - |  | A12ADZ | FU FONDS - MULTI ASSET FONDS I | EUR | 1,216,29 | 30.4. |  | -6,15 | 8,87 | 15,10 | 56,38 |  | A0Q5MD | FU FONDS - MULTI ASSET FONDS P | EUR | 277,24 | 30.4. |  | -6,58 | 7,15 | 10,11 | 40,88 |  | HAFX7T | FU FONDS - MULTI ASSET FONDS Z | EUR | 135,68 | 30.4. |  | -6,39 | 7,55 | 12,71 | 45,06 |  | A2DM0U | FUND OF VARIOPARTNER SICAV-VONTOBEL CONVICTION BALANCED F USD | USD | 1,481,24 | 30.4. |  | -0,12 | 7,66 | 18,18 | 37,44 |  | FWU002 | FWU PROTECTION FUND SICAV - DYNAMIC RISK CONTROL CI-EUR II | EUR | 106,62 | 30.4. |  | -3,54 | 3,41 | 0,24 | 21,77 |  | FWU022 | FWU PROTECTION FUND SICAV - DYNAMIC RISK CONTROL CI-EUR III | EUR | 107,29 | 30.4. |  | -3,11 | 4,93 | - | - |  | WK00LY | FWU PROTECTION FUND SICAV - DYNAMIC RISK CONTROL CI-EUR IV | EUR | 117,53 | 30.4. |  | -7,95 | - | - | - |  | FWU001 | FWU PROTECTION FUND SICAV - DYNAMIC RISK CONTROL CI-III EUR | EUR | 113,37 | 30.4. |  | -3,26 | 4,28 | 2,83 | 27,04 |  | 74653 | FWU TOP - DYNAMISCH (T) | EUR | 151,84 | 2.5. |  | -7,18 | 1,30 | 4,65 | 35,75 |  | A2L5U | GEH 2020 R | EUR | 1,259,23 | 2.5. |  | 10,67 | 15,94 | 7,62 | - |  | A352Z | GLOBAL ADVANTAGE STRATEGY FUND (T) | EUR | 114,07 | 2.5. |  | -3,39 | 11,59 | - | - |  | A3530 | GLOBAL ADVANTAGE STRATEGY FUND (VT) | EUR | 114,13 | 2.5. |  | -3,33 | 11,65 | - | - |  | A2U2T | GLOBAL DIVIDEND STRATEGY FUND (T) | EUR | 110,29 | 2.5. |  | 3,17 | 7,20 | 8,97 | - |  |
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