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A1JZAD | ISHARES DEVELOPED RE.EST.IF(IE)FLEX.EUR | EUR | 19,69 | 15.11. | | 9,91 | 21,09 | -3,91 | 6,29 | | A1XBEY | BL EQUITIES ASIA KLASSE BC | EUR | 135,47 | 15.11. | | 9,91 | 9,83 | -9,92 | 0,58 | | 591135 | NORDEA 1 - GLOBAL STABLE EQUITY FUND - BP - EUR | EUR | 33,20 | 18.11. | | 9,91 | 15,03 | 19,16 | 37,64 | | A2PQQK | J.HENDERSON H.GL.SUSTAINABLE EQ.F.A2 H | EUR | 30,93 | 18.11. | | 9,91 | 16,81 | -7,78 | 49,35 | | A0M51E | HSBC GLOBAL INVESTMENT FUNDS - GLOBAL EMERGING MARKETS EQUITY ZD | USD | 17,26 | 15.11. | | 9,91 | 14,39 | -17,24 | - | | A0Q7L9 | GOLDMAN SACHS EMERGING MARKETS EQUITY PORTFOLIO CLASS P SHARES | USD | 17,63 | 15.11. | | 9,91 | 12,05 | -23,48 | - | | A3ED6X | BLACKROCK TACTICAL OPPORTUNITIES FUND X ACCUMULATING EUR HEDGED | EUR | 125,61 | 15.11. | | 9,91 | 7,44 | 17,55 | 23,54 | | A3ECK1 | FRANKLIN TEMPLETON INVESTMENT FUNDS FRANKLIN SEALAND CHINA A-SHARES FUND P1 (ACC) EUR | EUR | 8,76 | 15.11. | | 9,91 | 3,67 | - | - | | A14UMY | UBS(LUX)K.S.S.-GL.AL.(USD)Q A.USD | USD | 135,06 | 14.11. | | 9,91 | 16,33 | -5,23 | - | | 120205 | HSBC GLOBAL INVESTMENT FUNDS - EUROLAND VALUE AD | EUR | 48,55 | 15.11. | | 9,91 | 16,44 | 18,65 | 38,01 | | A3EC70 | WELLINGTON EURO HIGH YIELD BOND FUND USD T ACCH | USD | 12,37 | 15.11. | | 9,91 | 15,52 | - | - | | A14V8Y | ALLIANZ INCOME AND GROWTH - RM - USD | USD | 10,32 | 18.11. | | 9,91 | 16,13 | 3,74 | 48,65 | | ETF701 | AMUNDI MULTI-ASSET PORTFOLIO UCITS ETF DIST | EUR | 156,93 | 15.11. | | 9,91 | 14,06 | 6,77 | 30,18 | | A14V8V | ALLIANZ INCOME AND GROWTH - RT - USD | USD | 21,17 | 18.11. | | 9,91 | 16,13 | 3,74 | 48,90 | | A110NQ | T.ROWE P.F.S.US SM.COMPAN.EQ.F.IN(EUR) | EUR | 25,73 | 15.11. | | 9,91 | 21,31 | -1,91 | - | | A2PEKN | AMUNDI FDS.JAP.EQ.ENGAGEMENT R EUR | EUR | 127,32 | 14.11. | | 9,91 | 17,61 | -10,84 | 11,35 | | A2P84S | LO FUNDS - CHINA HIGH CONVICTION, SYST. NAV HDG, SEED, (CHF) PA | CHF | 5,54 | 15.11. | | 9,91 | 5,97 | - | - | | A3D1PK | CAPITAL GROUP ASIAN HORIZON FUND (LUX) C USD | USD | 8,54 | 15.11. | | 9,91 | 12,81 | - | - | | A1TWL | RAIFFEISEN-NACHHALTIGKEIT-MIX RZ VTA | EUR | 142,19 | 18.11. | | 9,91 | 15,20 | 2,00 | 20,64 | | DWS220 | DWS INVEST ESG EQUITY INCOME IC | USD | 146,74 | 15.11. | | 9,91 | 17,09 | 8,24 | 42,70 | |
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