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  WknName   Kurs Datum ytd 1jahr 3jahre 5jahre 

A3D2ZA

BLACKROCK TACTICAL OPPORTUNITIES FUND D ACCUMULATING EUR HEDGED

EUR

 125,88

27.1.

up

 0,45

 3,04

 17,79  

 18,96  

chart detail

A3ED6U

BLACKROCK TACTICAL OPPORTUNITIES FUND D ACCUMULATING GBP HEDGED

GBP

 135,89

27.1.

up

 0,57

 5,15

 23,36  

 27,45  

chart detail

A41B2Q

BLACKROCK TACTICAL OPPORTUNITIES FUND D ACCUMULATING SEK HEDGED

SEK

 1,071,37

27.1.

up

 0,44

 -

 -  

 -  

chart detail

A3D2TN

BLACKROCK TACTICAL OPPORTUNITIES FUND D ACCUMULATING USD

USD

 140,46

27.1.

up

 0,57

 5,42

 24,45  

 29,67  

chart detail

A3ED6W

BLACKROCK TACTICAL OPPORTUNITIES FUND X ACCUMULATING AUD HEDGED

AUD

 140,25

27.1.

up

 0,60

 5,46

 23,74  

 29,96  

chart detail

A3ED6X

BLACKROCK TACTICAL OPPORTUNITIES FUND X ACCUMULATING EUR HEDGED

EUR

 132,13

27.1.

up

 0,52

 3,82

 20,41  

 23,43  

chart detail

A3ED6Y

BLACKROCK TACTICAL OPPORTUNITIES FUND X ACCUMULATING GBP HEDGED

GBP

 143,07

27.1.

up

 0,62

 5,95

 26,30  

 32,65  

chart detail

A3ED70

BLACKROCK TACTICAL OPPORTUNITIES FUND X ACCUMULATING JPY HEDGED

JPY

 11,689,51

27.1.

up

 0,39

 1,97

 10,28  

 13,60  

chart detail

A3DSC0

BLACKROCK TACTICAL OPPORTUNITIES FUND X ACCUMULATING NZD HEDGED

NZD

 132,58

27.1.

up

 0,53

 4,68

 25,47  

 -  

chart detail

A3ED6Z

BLACKROCK TACTICAL OPPORTUNITIES FUND X ACCUMULATING USD

USD

 147,64

27.1.

up

 0,63

 6,22

 27,32  

 34,72  

chart detail

A2N9QG

BLK FONDS - BLK AKTIEN WELT I

EUR

 157,87

27.1.

down

 4,37

 7,75

 34,67  

 35,52  

chart detail

A2N9QF

BLK FONDS - BLK AKTIEN WELT R

EUR

 152,52

27.1.

down

 4,32

 7,09

 32,25  

 31,41  

chart detail

A2PZYV

BNP PARIBAS FLEXI I MULTI-ASSET BOOSTER CLASSIC CAPITALISATION

EUR

 29,27

26.1.

up

 6,55

 8,17

 48,05  

 -  

chart detail

A2PY4U

BNP PARIBAS FLEXI I MULTI-ASSET BOOSTER I CAPITALISATION

EUR

 118,95

26.1.

up

 6,65

 9,45

 53,40  

 -  

chart detail

A2PY4L

BNP PARIBAS FLEXI I MULTI-ASSET BOOSTER X CAPITALISATION

EUR

 164,409,90

26.1.

up

 6,72

 10,38

 57,40  

 56,91  

chart detail

A3DXJ1

BNP PARIBAS FUNDS RESPONSIBLE MULTI-ASSET FLEXIBLE CLASSIC CAPITALISATION

EUR

 108,47

23.1.

down

 0,57

 2,01

 8,07  

 -  

chart detail

A3DY9P

BNP PARIBAS FUNDS RESPONSIBLE MULTI-ASSET FLEXIBLE CLASSIC DISTRIBUTION

EUR

 103,44

23.1.

down

 0,57

 2,02

 8,02  

 -  

chart detail

A3ERY6

BNP PARIBAS FUNDS RESPONSIBLE MULTI-ASSET FLEXIBLE CLASSIC H EUR CAPITALISATION

EUR

 112,68

23.1.

down

 0,37

 4,47

 -  

 -  

chart detail

A3DY9N

BNP PARIBAS FUNDS RESPONSIBLE MULTI-ASSET FLEXIBLE I CAPITALISATION

EUR

 110,31

23.1.

down

 0,60

 2,45

 9,32  

 -  

chart detail

A3DY9M

BNP PARIBAS FUNDS RESPONSIBLE MULTI-ASSET FLEXIBLE K CAPITALISATION

EUR

 106,11

23.1.

down

 0,53

 1,26

 5,60  

 -  

chart detail
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