Gewahlte Kriterien:
Fondstyp: Gemischter Fonds
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ARCUS | PCI - DIVERSIFIED EQUITY INCOME FUND (A) | EUR | 10,69 | 29.11. | | 7,01 | 8,27 | 10,87 | 17,24 | | A2RYS | PCI-CONCEPT GIESSWEIN | EUR | 93,72 | 29.11. | | 7,12 | 10,69 | -4,71 | - | | A2SAX | PCI-DIVERSIFIED IQ SUST.EQ.STRATEGY | EUR | 111,66 | 29.11. | | 16,48 | 21,54 | 10,00 | - | | A287K | PCI-DIVERSIFIED M.A.SELECT STRAT.T1 | EUR | 85,16 | 29.11. | | 0,60 | 1,94 | -3,29 | -16,36 | | A2MMG | PCI-DIVERSIFIED M.A.SELECT STRAT.T2 | EUR | 96,94 | 29.11. | | 0,30 | 1,59 | -4,29 | - | | A0Q8QW | PEH SICAV - PEH EMPIRE - F | EUR | 149,49 | 28.11. | | 15,66 | 18,54 | 1,66 | 21,76 | | 988006 | PEH SICAV - PEH EMPIRE - P | EUR | 112,72 | 28.11. | | 15,16 | 17,96 | -0,38 | 17,69 | | 926200 | PERPETUUM VITA BASIS R | EUR | 37,25 | 29.11. | | 3,39 | 5,67 | 8,19 | 6,03 | | A0LFB0 | PERPETUUM VITA GLOBAL | EUR | 35,85 | 29.11. | | 2,46 | 4,76 | 7,24 | -0,69 | | A0F431 | PERPETUUM VITA SPEZIAL (R) | EUR | 37,09 | 29.11. | | 2,80 | 4,95 | 13,49 | -13,92 | | PGIM02 | PGIM MULTI-SECTOR CREDIT FUND CHF-HEDGED I ACCUMULATION | CHF | 101,06 | 27.11. | | - | - | - | - | | A2ARGF | PGIM MULTI-SECTOR CREDIT FUND EUR-HEDGED I ACCUMULATION | EUR | 115,34 | 27.11. | | 6,69 | 7,81 | 8,58 | 11,99 | | A3EA7R | PGIM MULTI-SECTOR CREDIT FUND EUR-HEDGED P DISTRIBUTION (Q) | EUR | 104,32 | 27.11. | | 6,55 | 7,66 | - | - | | PGIM03 | PGIM MULTI-SECTOR CREDIT FUND GBP HEDGED I ACCUMULATION | GBP | 101,53 | 27.11. | | - | - | - | - | | A3D8CW | PGIM MULTI-SECTOR CREDIT FUND USD A ACCUMULATION | USD | 114,45 | 27.11. | | 7,66 | 8,93 | - | - | | A2ARGH | PGIM MULTI-SECTOR CREDIT FUND USD I ACCUMULATION | USD | 143,08 | 27.11. | | 8,24 | 9,56 | 14,98 | 21,87 | | A2ARGJ | PGIM MULTI-SECTOR CREDIT FUND USD I DISTRIBUTION (Q) | USD | 104,99 | 27.11. | | 8,23 | 9,57 | - | - | | A3DQ3L | PGIM MULTI-SECTOR CREDIT FUND USD P DISTRIBUTION (Q) | USD | 104,90 | 27.11. | | 8,10 | 9,41 | - | - | | A0MN91 | PHAIDROS FUNDS - BALANCED A | EUR | 237,34 | 29.11. | | 11,55 | 15,76 | 9,96 | 34,04 | | A0MN92 | PHAIDROS FUNDS - BALANCED B | EUR | 237,85 | 29.11. | | 12,13 | 16,34 | 12,60 | 39,65 | |
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