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

124 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.
326,3462,5074,16487,51
AGIF - Allianz Income and Growth - AM (H2-EUR) - EURA1T72NAllianz Global Investors (L)5,51169,50
Allianz Income and Growth - A - USDA1W4VNAllianz Global Investors (L)5,60202,14
Allianz Income and Growth - A (H2-EUR) - EURA1JV7VAllianz Global Investors (L)5,64313,37
Allianz Income and Growth - AM - USDA1J24QAllianz Global Investors (L)5,636.537,45
Allianz Income and Growth - AM (H2-AUD) - AUDA1J24SAllianz Global Investors (L)8,032.018,65
Allianz Income and Growth - AM (H2-RMB) - CNYA1J24VAllianz Global Investors (L)8,561.567,57
Allianz Income and Growth - AT - USD A1JLXZAllianz Global Investors (L)5,6837,56422,33
Allianz Income and Growth - AT (H2-EUR) - EURA117HUAllianz Global Investors (L)0,73
Allianz Income and Growth - CM - USDA12D90Allianz Global Investors (L)0,02
Allianz Income and Growth - CT (H-EUR) - EURA1JS9UAllianz Global Investors (L)4,7233,2928,78
Allianz Income and Growth - I - EURA119A9Allianz Global Investors (L)0,00
Allianz Income and Growth - IT - USDA1JLFAAllianz Global Investors (L)6,46158,01
Allianz Income and Growth - IT (H2-SEK) - SEKA1J4K6Allianz Global Investors (L)6,860,88
Allianz Income and Growth - IT (H-EUR) - EURA1JLFBAllianz Global Investors (L)6,3839,3534,03
Allianz Income and Growth - P - EURA1XBSEAllianz Global Investors (L)32,723,78
Allianz Income and Growth - P - USDA1XFPRAllianz Global Investors (L)6,380,40
Allianz Income and Growth - P (H2-EUR) - EURA110X3Allianz Global Investors (L)6,110,04
Allianz Income and Growth - PM - USDA111RYAllianz Global Investors (L)6,3092,76
Allianz Income and Growth - RM (H2-GBP) - GBPA12ESKAllianz Global Investors (L)0,22
AMUNDI Equity US Concentrated Core AE Cap €A1H4YQAmundi (Lux)42,5370,9526,95
AMUNDI Equity US Concentrated Core AHE CapA1H4YSAmundi (Lux)13,5746,793,13
AMUNDI Equity US Concentrated Core FHE Cap €A1H4YVAmundi (Lux)11,9140,482,26
AMUNDI Equity US Concentrated Core FU Cap $A1H4YUAmundi (Lux)1,35
AMUNDI Equity US Concentrated Core IHE CapA1H4YKAmundi (Lux)14,7951,610,00
AMUNDI Equity US Concentrated Core IU CapA1H4YHAmundi (Lux)44,0376,5010,17
AMUNDI Equity US Concentrated Core IU DisA1H4YJAmundi (Lux)0,01
AMUNDI Equity US Concentrated Core MHE CapA1H4YMAmundi (Lux)14,7249,860,00
AMUNDI Equity US Concentrated Core MU CapA1H4YLAmundi (Lux)0,62
AMUNDI Equity US Concentrated Core SU CapA1H4YTAmundi (Lux)13,3347,095,06
AMUNDI FUNDS Equity US Concentrated Core AU (C)A1H4YNAmundi (Lux)49,95
AMUNDI FUNDS Equity US Concentrated Core AU (D)A1H4YPAmundi (Lux)0,40
BNP PARIBAS L1 Equity USA Core Classic723644BNP Paribas IP (L)310,0653,2490,6840,27
BNP PARIBAS L1 Equity USA Core D723645BNP Paribas IP (L)10,1050,0383,2525,54
BNP PARIBAS L1 Equity USA Core I556226BNP Paribas IP (L)11,4458,94102,5424,08
BNPP L1 Equity USA Core Classic €A1C8C4BNP Paribas IP (L)37,6875,968,03
Brown Advisory US Equity Growth A Euro HedgedA1JFARBrown Advisory Funds (Irl)13,9750,76
Brown Advisory US Equity Growth A USDA1JFKJBrown Advisory Funds (Irl)13,4951,93
Brown Advisory US Equity Growth B EuroA1JE93Brown Advisory Funds (Irl)42,9378,90
Brown Advisory US Equity Growth B USDA1H65EBrown Advisory Funds (Irl)14,2755,39
Consumer Discretionary S&P US Select Sector Source ETF AA0YHMRSource Markets18,4481,42152,81230,08
db x-trackers MSCI WORLD CONSUMER DISCRETIONARY INDEX UCITS ETF 1CDBX0G5db x-trackers13,7777,0642,44
Echiquier GlobalA1C3DYFinanciere de L?Echiquier333,1758,9695,97107,56
HI-FBG Individual W A0M58DHelaba Invest18,2551,1264,26
HI-FBG Individual W Tranche IIA0RCCXHelaba Invest18,2351,1356,8618,69
InterStock (A)A0B82LSparkasse OÖ KAG29,1571,9885,6222,14
InterStock (T)971648Sparkasse OÖ KAG229,9773,0586,7351,17
Janus US Fund A EUR accA1C7FFJanus Capital Funds plc17,7459,220,23
Janus US Fund A USD accA1C7FGJanus Capital Funds plc17,8861,180,32
Janus US Fund B USD accA1C7FHJanus Capital Funds plc16,7456,390,30
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