| Name | WKN | KAG | Fondsnote | 1-Y-Perf. | 3-Y-Perf. | 5-Y-Perf. | Volumen (Mio.) |
|---|
| KBC Renta Forintrenta (thes.) | A0HM80 | KBC Asset Mgmt. | | -7,73 % | 1,75 % | 16,25 % | 36.289,44 |
| KBC Renta Forintrenta (auss.) | A0HM8Z | KBC Asset Mgmt. | | -14,09 % | -5,52 % | 7,81 % | 36.289,44 |
| KBC Renta Yenrenta (auss.) | A0HM9N | KBC Asset Mgmt. | | 0,15 % | 0,15 % | -0,25 % | 12.357,02 |
| KBC Renta Yenrenta (thes.) | A0HM9Z | KBC Asset Mgmt. | | 1,71 % | 1,70 % | 1,37 % | 12.357,02 |
| KBC EQUITY FUND - JAPAN DIV | 550873 | KBC Asset Mgmt. | | -47,34 % | -34,65 % | -17,85 % | 3.663,58 |
| KBC EQUITY FUND - JAPAN KAP | 974155 | KBC Asset Mgmt. | 3 | -47,35 % | -34,67 % | -17,85 % | 3.663,58 |
| KBC Renta Czechrenta (thes.) | 813523 | KBC Asset Mgmt. | | 3,78 % | 2,81 % | 13,86 % | 2.183,99 |
| KBC Renta Czechrenta (auss.) | A0EQ4H | KBC Asset Mgmt. | | -0,76 % | -1,72 % | 8,79 % | 2.183,99 |
| KBC Renta Slovakrenta (auss.) | A0HM9E | KBC Asset Mgmt. | | -2,70 % | -2,74 % | 8,34 % | 1.140,93 |
| KBC Renta Slovakrenta (thes.) | A0HM9F | KBC Asset Mgmt. | | 1,76 % | 1,77 % | 13,42 % | 1.140,93 |
| KBC Renta Nokrenta (thes.) | A0HM87 | KBC Asset Mgmt. | | 7,64 % | 7,56 % | 19,62 % | 1.032,24 |
| KBC Renta Nokrenta (auss.) | A0HM88 | KBC Asset Mgmt. | | 2,27 % | 2,17 % | 13,55 % | 1.032,24 |
| KBC Bonds High Interest KAP | 974100 | KBC Asset Mgmt. | 2 | -7,86 % | -3,32 % | 17,66 % | 832,15 |
| KBC Bonds High Interest DIV | 974122 | KBC Asset Mgmt. | | -14,31 % | -10,23 % | 9,19 % | 832,15 |
| KBC Renta Decarenta (thes.) | 971764 | KBC Asset Mgmt. | | 3,64 % | 2,35 % | 14,98 % | 831,05 |
| KBC Renta Decarenta (auss.) | 971763 | KBC Asset Mgmt. | | -0,87 % | -2,16 % | 9,81 % | 831,05 |
| KBC Renta Dollarenta (auss.) | A0HM8R | KBC Asset Mgmt. | | 4,07 % | 11,16 % | 17,28 % | 793,51 |
| KBC Renta Dollarenta (thes.) | A0HM8S | KBC Asset Mgmt. | | 8,28 % | 15,69 % | 22,21 % | 793,51 |
| KBC Renta Eurorenta (thes.) | 974645 | KBC Asset Mgmt. | 3 | 3,24 % | 2,19 % | 15,04 % | 733,69 |
| KBC Renta Eurorenta (auss.) | 974651 | KBC Asset Mgmt. | | -1,29 % | -2,32 % | 9,89 % | 733,69 |
| KBC Renta Sekarenta (auss.) | A0HM9C | KBC Asset Mgmt. | | 3,71 % | 2,91 % | 16,71 % | 575,16 |
| KBC Renta Sekarenta (thes.) | 937460 | KBC Asset Mgmt. | | 8,21 % | 7,40 % | 21,94 % | 575,16 |
| KBC EQUITY FUND - AMERICA DIV | 550869 | KBC Asset Mgmt. | | -40,76 % | -23,32 % | -10,00 % | 574,92 |
| KBC EQUITY FUND - AMERICA KAP | 974352 | KBC Asset Mgmt. | 3 | -40,75 % | -23,31 % | -9,97 % | 574,92 |
| KBC Bonds Inflation Linked DIV | 931720 | KBC Asset Mgmt. | | 0,70 % | -2,62 % | 15,27 % | 529,74 |
| KBC Bonds Inflation Linked KAP | 931721 | KBC Asset Mgmt. | | 2,95 % | -0,43 % | 17,83 % | 529,74 |
| KBC Bonds Corporates Euro DIV | 921408 | KBC Asset Mgmt. | | -16,71 % | -18,12 % | -8,70 % | 528,54 |
| KBC Bonds Corporates Euro KAP | 921409 | KBC Asset Mgmt. | 4 | -11,71 % | -13,15 % | -3,07 % | 528,54 |
| KBC Renta Zlotyrenta (thes.) | A0HM90 | KBC Asset Mgmt. | | 3,41 % | 8,05 % | % | 489,50 |
| KBC Renta Zlotyrenta (auss.) | A0HM91 | KBC Asset Mgmt. | | -2,48 % | 1,84 % | % | 489,50 |
| KBC Bonds Convertibles Euro Hedged KAP | A0LGEU | KBC Asset Mgmt. | | -26,98 % | % | % | 355,08 |
| KBC Bonds Convertibles Euro Hedged DIV | A0LGET | KBC Asset Mgmt. | | -28,88 % | % | % | 355,08 |
| KBC Bonds Convertibles KAP | 921389 | KBC Asset Mgmt. | 3 | -22,74 % | 0,08 % | 8,28 % | 355,08 |
| KBC Bonds Convertibles DIV | 921387 | KBC Asset Mgmt. | | -24,01 % | -8,38 % | -0,84 % | 355,08 |
| KBC Renta Emurenta (thes.) | A0HNAC | KBC Asset Mgmt. | 3 | 0,74 % | 0,69 % | 13,07 % | 334,85 |
| KBC Renta Emurenta (auss.) | 502415 | KBC Asset Mgmt. | | -3,57 % | -3,83 % | 7,90 % | 334,85 |
| KBC Eco Fund Water DIV | A0JJ52 | KBC Asset Mgmt. | | -41,79 % | -19,49 % | 30,40 % | 327,89 |
| KBC Eco Fund Water KAP | A0F6Z0 | KBC Asset Mgmt. | 2 | -41,79 % | -47,55 % | -14,99 % | 327,89 |
| KBC Eco Fund Alternative Energy KAP | A0B6LF | KBC Asset Mgmt. | | -47,75 % | -70,42 % | -51,17 % | 327,08 |
| KBC Eco Fund Alternative Energy DIV | A0JJ51 | KBC Asset Mgmt. | | -47,75 % | -18,29 % | 34,86 % | 327,08 |
| KBC Renta Medium EUR (auss.) | A0HM86 | KBC Asset Mgmt. | | 0,41 % | -1,10 % | 11,69 % | 325,80 |
| KBC Renta Medium EUR (thes.) | A0HM85 | KBC Asset Mgmt. | | 4,46 % | 2,93 % | 16,36 % | 325,80 |
| KBC Renta Sterlingrenta (thes.) | A0HM9G | KBC Asset Mgmt. | | 6,72 % | 9,48 % | 22,20 % | 315,64 |
| KBC Renta Sterlingrenta (auss.) | A0HM9H | KBC Asset Mgmt. | | 1,79 % | 4,36 % | 16,36 % | 315,64 |
| KBC Bonds Emerging Markets DIV | 933995 | KBC Asset Mgmt. | | -15,23 % | -0,61 % | 22,67 % | 307,51 |
| KBC Bonds Emerging Markets KAP | 675673 | KBC Asset Mgmt. | 4 | -8,83 % | 7,08 % | 21,76 % | 307,51 |
| KBC EQUITY FUND - NEW ASIA KAP | 974353 | KBC Asset Mgmt. | 4 | -47,72 % | -15,54 % | 11,66 % | 302,12 |
| KBC EQUITY FUND - NEW ASIA DIV | 550874 | KBC Asset Mgmt. | | -47,73 % | -15,55 % | 11,58 % | 302,12 |
| KBC EQUITY FUND - EUROPE DIV | 550872 | KBC Asset Mgmt. | | -45,77 % | -28,69 % | -3,74 % | 273,83 |
| KBC EQUITY FUND - EUROPE KAP | 974351 | KBC Asset Mgmt. | 4 | -45,78 % | -28,69 % | -3,73 % | 273,83 |
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