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KAG:Fondsart:Jahresperformance:S&P Rating:
 
Ausgabeaufschlag:Fondsunterart:Volumen:Mindestalter:

139 Fonds wurden gefunden

NameWKNKAGS&P
Rating
Fonds-
note
1-Y Perf. %3-Y Perf. %5-Y Perf. %Volumen
(Mio.)
DJE - Dividende & Substanz P (EUR)164325DJE Investment S.A.
321,7053,9568,32487,51
3 Banken Amerika Stock-MixA0DJZ63-Banken-Generali1,0642,8985,1045,34
AMCFM Fund Swiss Select I PA0RK6VIFAG Instit. Fondsleitung (LI)4,5146,1236,1324,38
Balius Sector Rotation Fund B A0LBLPGAM (L)4-11,9127,70-23,973,19
Baring Emerging Opportunities Fund (EUR)257552Baring Fund Mgt.515,2014,2110,692,13
Baring Emerging Opportunities Fund (GBP)257555Baring Fund Mgt.2,740,71-4,570,26
Baring Emerging Opportunities Fund (USD)257550Baring Fund Mgt.-6,700,16-2,091,61
Baring Latin America Fund (EUR)933593Baring Fund Mgt.2-4,96-10,19-11,5727,60
Baring Latin America Fund (USD)973166Baring Fund Mgt.5-22,72-20,69-21,50310,89
BGF Latin American Fund A2 EURA0BMA3BlackRock IM (Lux)Silver3-4,96-10,45-13,991.373,91
BGF Latin American Fund A2 GBPA0BL3ZBlackRock IM (Lux)Silver-15,20-20,73-26,271.033,49
BGF Latin American Fund A2 USD987139BlackRock IM (Lux)Silver3-22,80-21,15-24,201.553,17
BGF Latin American Fund A4 EURA0RFDBBlackRock IM (Lux)Silver-4,95-10,47-14,033,46
BGF Latin American Fund Hedged A2 PLNA0YKMCBlackRock IM (Lux)Silver-22,45-17,52-20,266,52
BNP PARIBAS L1 Equity Europe C971163BNP Paribas IP (L)311,6953,9579,41179,62
BNP PARIBAS L1 Equity Europe Classic DistributionA0BL2SBNP Paribas IP (L)11,7648,5366,3736,84
BNP Paribas L1 Equity Europe Classic USD CAPA1JPYQBNP Paribas IP (L)-9,363,55
BNPP L1 FUND Equity Europe - N675302BNP Paribas IP (L)10,8650,5673,036,30
Deutsche Invest I Chinese Equities FCDWS0BMDeutsche AWM (L)46,2068,2853,9577,78
Deutsche Invest I Chinese Equities GBP RDDWS0RDDeutsche AWM (L)30,4645,8931,280,15
Deutsche Invest I Chinese Equities LCDWS0BJDeutsche AWM (L)445,2164,0047,97185,28
Deutsche Invest I Chinese Equities NCDWS0BKDeutsche AWM (L)44,3261,8843,9918,99
Deutsche Invest I Chinese Equities USD FCDWS0BPDeutsche AWM (L)18,8448,7137,074,31
Deutsche Invest I Chinese Equities USD LCDWS0BNDeutsche AWM (L)17,9645,6432,9020,68
DKB Pharma Fonds AL921869BayernInvest (Lux)341,03107,53168,934,05
DKB Pharma Fonds TNL541954BayernInvest (Lux)340,14103,71160,4527,37
FORTIS L FUND Equity Europe (Institutions) C675301BNP Paribas IP (L)13,0759,6890,5354,13
FT InterSpezial847800Frankfurt Trust330,0869,6291,78228,74
Gartmore SICAV Pan European Focus Fund € AA0DNE5Henderson Gartmore16,105,30
Gartmore SICAV Pan European Focus Fund € A1A0DNE6Henderson Gartmore14,305,30
Goldman Sachs BRICs Portfolio Base acc Long BRICs Ccy vs. USDA0JJ3UGoldman Sachs5-2,4515,640,5016,00
Goldman Sachs BRICs Portfolio Base Acc.A0HMP4Goldman Sachs-2,5216,473,5139,52
Goldman Sachs BRICs Portfolio Base Dist.A0HMPZGoldman Sachs4-2,5016,473,536,60
Goldman Sachs BRICs Portfolio Class AA0HMP0Goldman Sachs-2,9714,870,9816,03
Goldman Sachs BRICs Portfolio Class E AccA0HMP3Goldman Sachs419,4830,3814,6493,63
Goldman Sachs BRICs Portfolio I AccA0HMP5Goldman Sachs-1,3820,289,027,90
Goldman Sachs BRICs Portfolio I EUR accA0YDP3Goldman Sachs21,3536,398,27
Goldman Sachs BRICs Portfolio I GBP IncA1CVGVGoldman Sachs8,2420,7712,63
Goldman Sachs BRICs Portfolio I USD IncA0HMP2Goldman Sachs-1,4420,211,61
Goldman Sachs BRICs Portfolio IO AccA0M9VRGoldman Sachs-0,6123,4614,0311,70
Goldman Sachs BRICs Portfolio IO Acc GBPA0Q7LWGoldman Sachs9,2124,1411,000,08
Goldman Sachs BRICs Portfolio IXA0QYZEGoldman Sachs-2,6814,910,5328,86
Goldman Sachs BRICs Portfolio Other Currency GBP Dist.A1CWPEGoldman Sachs6,9917,000,780,05
Goldman Sachs BRICs Portfolio Other Currency SGD Hedged Dist.A1JB72Goldman Sachs5,5124,130,01
Goldman Sachs BRICs Portfolio P AccA0Q7L2Goldman Sachs-1,9318,69-6,991,86
Goldman Sachs BRICs Portfolio R A1T9HLGoldman Sachs-1,500,53
Goldman Sachs BRICs Portfolio R (GBP)A1T9HJGoldman Sachs8,070,01
Goldman Sachs BRICs Portfolio R AccA1KDDRGoldman Sachs-1,660,22
Goldman Sachs BRICs Portfolio R EURA1KDDUGoldman Sachs21,220,03
GS BRICs Portfolio P IncA0Q7L1Goldman Sachs-1,8718,75-7,000,31
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