|
|
| Klicken Sie auf eine Spaltenüberschrift, um zu sortieren. |
|
A2QCU7 | CT (LUX) UK EQUITIES NG GBP | GBP | 16,76 | 22.1. |  | 1,22 | 9,92 | 27,05 | 38,39 |  | A2JBEL | DPAM B EQUITIES WORLD SUSTAINABLE - KLASSE W | EUR | 420,80 | 22.1. |  | 0,99 | -5,47 | 37,50 | 38,38 |  | A14XZ1 | BNP PARIBAS FUNDS AQUA CLASSIC CAPITALISATION | EUR | 233,59 | 22.1. |  | 5,89 | 2,61 | 22,29 | 38,38 |  | A2PT8A | MIROVA GLOBAL SUSTAINABLE EQUITY H-SI/A-NPF (SGD) | SGD | 148,12 | 22.1. |  | 0,78 | 7,32 | 38,12 | 38,38 |  | A0YGJP | AB FCP I ASIA EX-JAPAN EQUITY PORTFOLIO CLASS A | USD | 36,85 | 22.1. |  | 7,94 | 50,22 | 56,81 | 38,38 |  | A1W849 | AMUNDI MSCI JAPAN ESG BROAD TRANSITION INDEX IE | EUR | 154,21 | 22.1. |  | 4,10 | 14,41 | 43,91 | 38,37 |  | A1W85A | AMUNDI MSCI JAPAN ESG BROAD TRANSITION INDEX IE | EUR | 1,827,44 | 22.1. |  | 4,10 | 14,42 | 43,92 | 38,37 |  | A00NC | ADVISORY ONE (A) | EUR | 14,93 | 23.1. |  | 4,55 | 15,02 | 39,14 | 38,37 |  | A0RM1U | DPAM B EQUITIES WORLD SUSTAINABLE - KLASSE F | EUR | 437,04 | 22.1. |  | 0,98 | -5,47 | 37,49 | 38,37 |  | A2PCV3 | AMUNDI FUNDS PIONEER FLEXIBLE OPPORTUNITIES - A USD | USD | 150,33 | 22.1. |  | 2,43 | 30,64 | 56,53 | 38,36 |  | A2N5YZ | CT (LUX) SUSTAINABLE GLOBAL EQUITY AUP INCOME USD | USD | 13,39 | 22.1. |  | 1,29 | 10,89 | 33,07 | 38,36 |  | A2PY8C | ISHARES EDGE MSCI WORLD MINIMUM VOLATILITY ADVANCED UCITS ETF USD ACCU | USD | 8,08 | 22.1. |  | 0,20 | 9,01 | 32,75 | 38,36 |  | A2DK4A | NEUBERGER BERMAN US EQUITY PREMIUM FUND EUR I ACCUMULATING | EUR | 16,13 | 22.1. |  | 0,88 | 7,97 | 34,87 | 38,34 |  | A2APKM | GOLDMAN SACHS STRATEGIC FACTOR ALLOCATION PORTFOLIO CLASS R SHARES (ACC.) (GBP-HEDGED) | GBP | 179,78 | 21.1. |  | -0,03 | 9,12 | 34,41 | 38,33 |  | A0NE8X | BNP PARIBAS FUNDS GLOBAL ENVIRONMENT X CAPITALISATION | EUR | 263,30 | 22.1. |  | 3,78 | -0,80 | 27,56 | 38,33 |  | A0ERMC | PICTET - PREMIUM BRANDS - I EUR | EUR | 348,74 | 22.1. |  | -1,96 | -9,30 | 13,95 | 38,33 |  | A1JYBG | SCHRODER INTERNATIONAL SELECTION FUND MULTI-ASSET GROWTH AND INCOME C ACCUMULATION USD | USD | 318,86 | 23.1. |  | 4,73 | 24,91 | 51,89 | 38,32 |  | A2DMRM | FS EXPONENTIAL TECHNOLOGIES X | EUR | 2,106,91 | 22.1. |  | -0,30 | 1,14 | 53,11 | 38,32 |  | 76557 | RAIFFEISEN-NACHHALTIGKEIT-ÖSTERREICHPLUS-AKTIEN (R) (VTA) | EUR | 335,20 | 23.1. |  | 2,93 | 27,45 | 40,09 | 38,32 |  | A0PG8E | BGF GLOBAL ALLOCATION FUND X2 USD | USD | 128,80 | 23.1. |  | 1,55 | 18,23 | 47,02 | 38,32 |  |
|
|