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Gewahlte Kriterien:
Fondstyp: Alternative Investm.
| Anlageregion: Europa
| Unterkategorie: AI Volatility
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Sortiert nach: Fund Name |
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A41L6L | ANTECEDO INDEPENDENT INVEST - ANTEILKLASSE B | EUR | 97,11 | 20.1. |  | 1,30 | - | - | - |  | A0RAD4 | ANTECEDO INDEPENDENT INVEST- ANTEILKLASSE A | EUR | 140,32 | 20.1. |  | 1,28 | 18,54 | 32,99 | 46,79 |  | A3C8ZA | TABCAP LIQUID CREDIT INCOME UCITS FUND A EUR INSTITUTIONAL ACC | EUR | 134,64 | 20.1. |  | -0,16 | 7,76 | 42,36 | - |  | A3EKKU | TABCAP LIQUID CREDIT INCOME UCITS FUND A2 EUR ORDINARY ACC | EUR | 112,64 | 20.1. |  | -0,19 | 7,17 | - | - |  | A3C8ZJ | TABCAP LIQUID CREDIT INCOME UCITS FUND AI EUR INSTITUTIONAL INC | EUR | 100,52 | 20.1. |  | -0,16 | 0,49 | - | - |  | A3C8ZB | TABCAP LIQUID CREDIT INCOME UCITS FUND B GBP INSTITUTIONAL ACC | EUR | 167,97 | 20.1. |  | 0,08 | 6,43 | 49,12 | - |  | A3C8ZK | TABCAP LIQUID CREDIT INCOME UCITS FUND BI GBP INSTITUTIONAL INC | EUR | 118,17 | 20.1. |  | 0,08 | -1,82 | - | - |  | A3C8ZC | TABCAP LIQUID CREDIT INCOME UCITS FUND C CHF INSTITUTIONAL ACC | EUR | 120,15 | 20.1. |  | 0,11 | 7,31 | - | - |  | A3C8ZD | TABCAP LIQUID CREDIT INCOME UCITS FUND D USD INSTITUTIONAL ACC | EUR | 126,66 | 20.1. |  | 0,19 | -2,47 | 34,95 | - |  | A3EKKV | TABCAP LIQUID CREDIT INCOME UCITS FUND D2 USD ORDINARY ACC | EUR | 97,87 | 20.1. |  | 0,16 | -2,96 | - | - |  | A3C8ZE | TABCAP LIQUID CREDIT INCOME UCITS FUND F EUR FOUNDERS ACC | EUR | 136,87 | 20.1. |  | -0,13 | 8,19 | 44,08 | - |  | A3C8ZP | TABCAP LIQUID CREDIT INCOME UCITS FUND GI GBP FOUNDERS INC | EUR | 169,75 | 20.1. |  | 0,10 | 6,85 | - | - |  | A3C8ZH | TABCAP LIQUID CREDIT INCOME UCITS FUND I USD FOUNDERS ACC | EUR | 126,76 | 20.1. |  | 0,21 | -2,08 | - | - |  | A40WDN | TABCAP LIQUID CREDIT INCOME UCITS FUND SSA EUR INSTITUTIONAL-2 ACC | EUR | 108,91 | 20.1. |  | -0,14 | 8,03 | - | - |  |
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