Mischfonds
Bei Mischfonds handelt es sich um eine Zwischenform aus Aktien- und Rentenfonds, die dem Anleger ermöglicht, sowohl in Anteilsscheine als auch in festverzinsliche Wertpapiere zu investieren. Je nach Marktsituation können die jeweiligen Anteile des Mischfonds angepasst werden. Konservative Fonds dieser Kategorie haben einen höheren Renten- oder Geldmarktanteil und bergen somit ein geringeres Risiko, aber auch kleinere Gewinne. Progressive Mischfonds legen hingegen überwiegend in Aktien an, was sowohl das Risiko aber auch die Gewinnchancen erhöht.
1796 Mischfonds wurden gefunden
| Name | WKN | KAG | S&P Rating | Fonds- note | 1-Y Perf. % | 3-Y Perf. % | 5-Y Perf. % | Volumen (Mio.) |
|---|
| Phaidros Fund - Balanced D | A1JVMV | IPConcept Fund Management | Gold | | | | | 0,40 |
| Ametos SICAV - Ametos Europa Wachstum | A1H8ED | IPConcept Fund Management | | | | | | 2,24 |
| WVB - Global | A0NJUK | IPConcept Fund Management | | | -6,63 | 13,48 | | 29,23 |
| apo VV Premium - Privat | A0RBNF | IPConcept Fund Management | | | -10,97 | 19,68 | | 109,86 |
| Multiadvisor Sicav - Esprit | 988634 | IPConcept Fund Management | | | -2,42 | 45,20 | -5,83 | 45,98 |
| Flossbach von Storch SICAV - Ausgewogen F | A0M43V | IPConcept Fund Management | | | 4,36 | 26,31 | | 124,16 |
| Flossbach von Storch SICAV - Wachstum F | A0M43X | IPConcept Fund Management | | | 4,97 | 32,55 | | 48,21 |
| VR-PrimaMix - Global | A1CVZ6 | IPConcept Fund Management | | | -0,28 | | | 12,88 |
| G&P - Flexibler VV Fonds R | A1CVGR | IPConcept Fund Management | | | -10,50 | | | 2,67 |
| FIDES - Europa | 577365 | IPConcept Fund Management | | | -2,04 | 49,13 | -4,72 | |
| VB Karlsruhe Premium Invest - Konservativ | A0NH4M | IPConcept Fund Management | | | -8,93 | -1,48 | | 3,89 |
| Flossbach von Storch SICAV - Defensiv R | A0M43U | IPConcept Fund Management | | 2 | 3,75 | 17,69 | | 37,87 |
| VR Premium Fonds - Securitas | A0RKYX | IPConcept Fund Management | | | -3,92 | 4,84 | | 42,97 |
| Flossbach von Storch SICAV - Defensiv F | A0M43T | IPConcept Fund Management | | | 4,35 | 19,64 | | 107,49 |
| Phaidros Funds - Balanced A | A0MN91 | IPConcept Fund Management | Gold | 2 | -2,43 | 21,36 | 7,78 | 10,25 |
| Phaidros Funds - Balanced C | A0X9MW | IPConcept Fund Management | Gold | | -1,80 | | | 2,48 |
| Phaidros Funds - Balanced B | A0MN92 | IPConcept Fund Management | Gold | | -1,49 | 25,94 | 5,03 | 27,48 |
| Janus Balanced Fund - A Euro | 933855 | Janus Capital Funds plc | | 2 | -1,72 | 25,31 | 12,01 | 30,25 |
| Janus Balanced Fund - A USD | 921662 | Janus Capital Funds plc | | | -0,84 | 27,84 | 15,74 | 30,19 |
| Janus Balanced Fund - B USD | 921663 | Janus Capital Funds plc | | | -1,95 | 23,90 | 9,98 | 13,42 |
| JPM Europe Balanced (EUR) A (dist) - EUR | 974540 | JP Morgan A.M. | | 3 | -3,28 | 20,90 | -6,84 | 22,24 |
| JPMorgan Investment Funds - Global Balanced (USD) A (acc) - USD | 988401 | JP Morgan A.M. | | 2 | -0,90 | 25,99 | 9,30 | 198,43 |
| JPMorgan Investment Funds - Global Balanced Fund (EUR) A (acc) - EUR | 988417 | JP Morgan A.M. | | 2 | 2,63 | 26,92 | 4,93 | 94,36 |
| JPMorgan Investment Funds - Global Capital Appreciation D (acc) - EUR | 533947 | JP Morgan A.M. | | | -8,03 | 10,23 | -5,93 | 26,73 |
| JFMorgan Funds - JF Pacific Balanced Fund A (dist) - USD | 577345 | JP Morgan A.M. | | 2 | -9,32 | 20,63 | 3,00 | 68,83 |
| JPMorgan Investment Funds - Global Capital Appreciation A (acc) - EUR | 989946 | JP Morgan A.M. | | 3 | -7,38 | 12,56 | -2,58 | 24,09 |
| JFMorgan Funds - JF Pacific Balanced Fund D (acc) - USD | 796138 | JP Morgan A.M. | | | -9,74 | 19,02 | 1,24 | 24,09 |
| JFMorgan Funds - JF Pacific Balanced Fund A (acc) - USD | A0DQQ5 | JP Morgan A.M. | | | -9,35 | 20,53 | 3,51 | 5,78 |
| JPMorgan Investment Strategies Fund II - LifeCycle Fund 2020 - D (acc) - EUR | A0MM2J | JP Morgan A.M. | | | -1,35 | | | |
| JPMorgan Investment Strategies Fund II - LifeCycle Fund 2025 - D (acc) - EUR | A0MM2P | JP Morgan A.M. | | | -2,21 | | | |
| JPMorgan Investment Strategies Fund II - LifeCycle Fund 2030 - D (acc) - EUR | A0MM2U | JP Morgan A.M. | | | -2,98 | | | |
| JPMorgan Investment Strategies Fund II - LifeCycle Fund 2035 - D (acc) - EUR | A0MM2Z | JP Morgan A.M. | | | -4,15 | | | |
| JPMorgan Investment Funds - Global Capital Appreciation A (dist) - EUR | A0JKCV | JP Morgan A.M. | | | -8,68 | 9,79 | -9,78 | 0,07 |
| JPMorgan Investment Funds - Global Capital Appreciation A (inc) - EUR | A0JK80 | JP Morgan A.M. | | | -8,71 | 9,78 | -7,04 | 0,65 |
| JPMorgan Investment Funds - Global Balanced Fund (EUR) D (acc) - EUR | 529491 | JP Morgan A.M. | | | 2,12 | 25,04 | 2,35 | 44,17 |
| JPMorgan Investment Funds - Global Balanced (USD) D (acc) - USD | 529615 | JP Morgan A.M. | | | -1,39 | 24,13 | 6,61 | 41,01 |
| JPM Europe Balanced (EUR) D (acc) - EUR | 602959 | JP Morgan A.M. | | | -3,84 | 19,06 | -9,12 | 20,48 |
| JPM Europe Balanced (EUR) A (acc) - EUR | A0D8V2 | JP Morgan A.M. | | | -3,28 | 20,93 | -6,88 | 20,43 |
| JPMorgan Investment Funds - Global Total Return A (acc) - EUR | A0B9W3 | JP Morgan A.M. | | 2 | -4,73 | 7,74 | -8,18 | 24,99 |
| JPMorgan Investment Funds - Global Balanced (USD) A (dist) - USD | A0JKCX | JP Morgan A.M. | | | -2,01 | 22,12 | 3,52 | 1,15 |
| JPMorgan Investment Funds - Global Balanced Fund (EUR) A (dist) - EUR | A0JKCT | JP Morgan A.M. | | | 1,11 | 21,41 | -8,87 | 1,02 |
| Jyske Invest Growth Strategy | A0B73B | Jyske Invest (DK) | | 3 | -4,44 | 37,77 | -21,09 | 9,51 |
| Jyske Invest Balanced Strategy | A0B73A | Jyske Invest (DK) | | 2 | 0,98 | 33,18 | 4,36 | 72,43 |
| Jyske Invest Dynamic Strategy | A0M112 | Jyske Invest (DK) | | 2 | -1,86 | 34,56 | -8,80 | 19,52 |
| Jyske Balanced Strategy (GBP) | A1CV8Y | Jyske Invest (DK) | | | -1,24 | | | |
| Jyske Invest Balanced Strategy (NOK) | A0Q3QR | Jyske Invest (DK) | | | 0,45 | 28,21 | | 94,98 |
| Jyske Invest Stable Strategy | A0B729 | Jyske Invest (DK) | | 2 | 3,47 | 29,84 | 17,30 | 131,11 |
| Deutsche Postbank Global OptiMix | 701986 | KAS Investment | | 4 | -7,67 | -0,81 | -10,89 | 9,73 |
| Deutsche Postbank VL Invest | 979773 | KAS Investment | | 4 | -16,11 | -1,82 | -36,43 | 17,09 |
| Deutsche Postbank Protekt Plus | 701987 | KAS Investment | | 2 | 3,33 | 6,50 | 7,86 | 103,09 |
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