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

630 Fonds wurden gefunden

NameWKNKAGS&P
Rating
Fonds-
note
1-Y Perf. %3-Y Perf. %5-Y Perf. %Volumen
(Mio.)
iShares S&P 500 (DE)264388iShares plc
229,7753,1826,2710.392,55
iShares S&P 500622391iShares plc
29,7653,1926,2710.392,55
UniGlobal849105Union Investment223,7137,1034,778.227,50
DWS Vermögensbildungsfonds I847652DWS
420,9414,777,355.302,19
Templeton Growth (Euro) Fund A (acc) EUR941034Franklin Templeton236,2940,0027,264.845,45
Nordea-1 Global Stable Equity Fund - Unhedged BP-SEKA0HMS6Nordea 116,9723,43-2,874.114,49
Capital International Us Growth and Income B JPY806441CAPITAL International S.A.Gold38,4133,362,303.802,23
DWS Akkumula847402DWS
421,3213,408,973.059,07
Capital International US Growth and Income C JPY806446CAPITAL International S.A.Gold61,7665,1536,282.997,40
db x-trackers MSCI WORLD INDEX UCITS ETF 1CDBX1MWdb x-trackers227,7442,497,392.717,67
Morgan Stanley Global Brands Fund (USD) ZA0RJRUMorgan Stanley22,5865,982.635,21
Morgan Stanley Global Brands Fund (USD) A579993Morgan Stanley121,6662,2246,772.509,81
db x-trackers MSCI USA INDEX UCITS ETF 1CDBX1MUdb x-trackers226,5052,7925,772.089,55
iShares MSCI North America (DE)A0J206iShares plc
228,3749,1722,472.021,09
iShares MSCI North AmericaA0J201iShares plc
28,3549,1722,462.021,09
Robeco US Premium Equities (USD) DA0F61PRobeco433,4548,0738,361.874,00
Henderson HF Global Technology Fund A2 USD Acc989234Henderson Global InvestorsPlatinum111,1335,6635,111.608,01
Capital International US Growth and Income Bd JPYA0B516CAPITAL International S.A.Gold38,1432,751,271.551,87
Nordea-1 Global Stable Equity Fund HB-SEKA0LGS3Nordea 129,0043,7429,901.530,41
M&G Global Dividend Fund EUR-Klasse A accA0Q349M&G InternationalSilver130,1453,891.520,77
DWS Top 50 Welt976979DWS
317,4823,0313,501.461,20
Fidelity Funds - America Fund A (USD)973280Fidelity Investments (L)Silver334,3257,4932,321.365,72
UBS-ETF MSCI USA A794358UBS-ETF226,0850,4223,351.354,54
AMUNDI International Sicav - AU (C)635297Amundi (Lux)216,1528,7919,561.274,17
Morgan Stanley Global Brands Fund (USD) I579992Morgan Stanley22,5765,8352,231.184,73
M&G Global Dividend Fund EUR-Klasse C accA0Q35AM&G InternationalSilver31,4458,521.110,44
AMUNDI International Sicav - AHE (C)A0YA5TAmundi (Lux)15,7426,01878,57
HSBC S&P 500 ETFA1C19CHSBC ETFs PLC25,35863,77
HSBC S&P 500 ETF (DE)A1C22MHSBC ETFs PLC25,33863,77
PowerShares EQQQ Fund801498Invesco PowerShares16,3146,1148,59861,11
JPMorgan Investment Funds - US Select Equity Fund A (acc) - USD987333JP Morgan A.M.
330,5652,6126,95840,84
db x-trackers S&P 500 UCITS ETF 1CDBX0F2db x-trackers26,70815,38
CS ETF (IE) on S&P 500A0YEDGCredit Suisse ETFs (IE)26,74739,25
Allianz Interglobal A (EUR)847507Allianz GI Europe
322,6432,1615,14712,25
BNP PARIBAS L1 Equity USA Growth CA0Q6SJBNP Paribas IP (L)Silver17,8743,6777,78678,65
Pioneer Funds - U.S. Pioneer Fund A USD (ND)805664Pioneer (Lux)Gold25,0938,2210,79639,64
Robeco US Premium Equities DH EURA0M1D1Robeco532,7144,2829,26598,34
SSgA World Index Equity Fund P USD588807State Street GA227,3241,126,03593,48
ComStage ETF MSCI World TRN IETF110ComStage228,0642,77590,00
Morgan Stanley Global Brands Fund (USD) B579994Morgan Stanley20,4557,4639,59524,68
Morgan St. Global Brands ZX €A1H6SZMorgan Stanley24,2863,86513,06
iShares NASDAQ-100 (R) (DE)A0F5UFBlackRock AM (D)
119,3760,9852,04500,13
Schroder ISF Global Equity Alpha USD C Acc A0F5ELSchroder Investment28,2239,229,81492,81
Pioneer Funds - U.S. Pioneer Fund A EUR (ND)805665Pioneer (Lux)Gold324,2033,0034,31489,26
Pioneer Funds - U.S. Research E EUR (ND)926002Pioneer (Lux)23,2444,0053,34483,81
iShares S&P 500 Monthly EUR Hedged (DE)A1H53NiShares (US)28,94475,91
JPMorgan Funds - US Select Equity Plus Fund A (acc) - USDA0MNV0JP Morgan A.M.
332,2652,2929,16475,04
Morgan Stanley Global Brands Fund ZH EURA0RJRVMorgan Stanley21,6461,99460,32
Newton Global Equity Fund (GBP)930440BNY Mellon A.M. (GB)35,3833,1319,26460,23
Franklin Mutual Beacon Fund A (acc) USD986459Franklin TempletonGold328,0936,8411,45440,06
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