Gewahlte Kriterien:
Fondstyp: Gemischter Fonds
| Anlageregion: weltweit
|
Sortiert nach: Fund Name |
Suche ändern
Neue Suche |
| |
|
| Klicken Sie auf eine Spaltenüberschrift, um zu sortieren. |
|
A3C92G | FUNDATIS DIVERSIFIED SELECTION - ANTEILKLASSE I | EUR | 120,70 | 29.1. |  | 3,93 | 15,51 | 33,65 | - |  | A3C92J | FUNDATIS DIVERSIFIED SELECTION - ANTEILKLASSE R | EUR | 120,28 | 29.1. |  | 3,87 | 14,77 | 31,14 | - |  | 979945 | FÜRST FUGGER PRIVATBANK WACHSTUM | EUR | 135,85 | 30.1. |  | 3,87 | 8,77 | 18,86 | 10,77 |  | A3AFR | FUTURE FUNDAMENTALS | EUR | 98,93 | 30.1. |  | 1,64 | 0,41 | - | - |  | A1W57W | FUTURUM GLOBAL INVEST | EUR | 166,37 | 22.1. |  | 1,54 | 7,75 | 27,69 | 26,37 |  | A3AWH | FWR25 (VTA) | EUR | 106,91 | 30.1. |  | 0,90 | - | - | - |  | FWU004 | FWU PROTECTION FUND SICAV - BALANCED RISK CONTROL CI-EUR II | EUR | 97,69 | 29.1. |  | 1,44 | 7,19 | 15,77 | 3,73 |  | FWU021 | FWU PROTECTION FUND SICAV - BALANCED RISK CONTROL CI-EUR III CAP | EUR | 118,47 | 29.1. |  | 1,59 | 9,22 | 25,55 | - |  | FWU006 | FWU PROTECTION FUND SICAV - CONSERVATIVE RISK CONTROL CI-EUR II | EUR | 67,06 | 29.1. |  | 0,10 | -1,48 | -10,41 | -28,50 |  | FWU023 | FWU PROTECTION FUND SICAV - CONSERVATIVE RISK CONTROL CI-EUR III CAP | EUR | 92,66 | 29.1. |  | 0,27 | 0,67 | -3,11 | - |  | FWU002 | FWU PROTECTION FUND SICAV - DYNAMIC RISK CONTROL CI-EUR II | EUR | 126,30 | 29.1. |  | 1,98 | 11,34 | 31,44 | 19,46 |  | FWU022 | FWU PROTECTION FUND SICAV - DYNAMIC RISK CONTROL CI-EUR III | EUR | 128,09 | 29.1. |  | 2,06 | 12,62 | 38,87 | - |  | 74653 | FWU TOP - DYNAMISCH (T) | EUR | 170,31 | 30.1. |  | 0,74 | 3,13 | 25,02 | 31,14 |  | 74650 | FWU TOP - KONSERVATIV (T) | EUR | 140,16 | 30.1. |  | 0,26 | 0,42 | 10,31 | 1,05 |  | A2JPQE | GAM STAR GLOBAL MODERATE INST ACC - USD | USD | 16,66 | 29.1. |  | 3,12 | 10,49 | - | - |  | A2JGWT | GAM STAR GLOBAL MODERATE INSTITUTIONAL HDG EUR ACC | EUR | 12,18 | 29.1. |  | 2,97 | 8,24 | - | - |  | A1T6L9 | GAM STAR GLOBAL MODERATE INSTITUTIONAL HDG GBP ACC | GBP | 17,07 | 29.1. |  | 3,12 | 10,47 | - | - |  | A0M5V4 | GANADOR - SPIRIT INVEST - A | EUR | 240,27 | 29.1. |  | 5,24 | 22,26 | 31,63 | 29,97 |  | A0M5V5 | GANADOR - SPIRIT INVEST - B | EUR | 2,646,09 | 29.1. |  | 5,28 | 22,73 | 33,36 | 32,93 |  | A3C4YJ | GANADOR - SPIRIT INVEST - CHF HEDGED | CHF | 113,71 | 29.1. |  | 4,99 | 20,09 | 22,98 | - |  |
|
|