| Name | WKN | KAG | S&P Rating | Fonds- note | 1-Y Perf. % | 3-Y Perf. % | 5-Y Perf. % | Volumen (Mio.) |
|---|---|---|---|---|---|---|---|---|
| KBC Renta Short USD (thes.) | A0H09M | KBC Asset Mgmt. | 4 | 0,42 | 3,00 | 15,56 | 10,36 | |
| KBC Renta Slovakrenta (auss.) | A0HM9E | KBC Asset Mgmt. | 3,82 | 10,37 | 13,75 | 0,14 | ||
| KBC Renta Slovakrenta (thes.) | A0HM9F | KBC Asset Mgmt. | 3,83 | 10,43 | 13,85 | 1,51 | ||
| KBC Renta Sterlingrenta (auss.) | A0HM9H | KBC Asset Mgmt. | 15,79 | 27,82 | 49,69 | 3,42 | ||
| KBC Renta Sterlingrenta (thes.) | A0HM9G | KBC Asset Mgmt. | 15,80 | 27,86 | 49,80 | 5,74 | ||
| KBC Renta Swissrenta (auss.) | A0HM9J | KBC Asset Mgmt. | 6,55 | 14,19 | 20,05 | 12,35 | ||
| KBC Renta Swissrenta (thes.) | A0HM9K | KBC Asset Mgmt. | 3 | 6,55 | 14,20 | 20,08 | 7,54 | |
| KBC Renta TRY-Renta (auss.) | A0HM9L | KBC Asset Mgmt. | 7,21 | 33,89 | 91,31 | 42,57 | ||
| KBC Renta TRY-Renta (thes.) | A0HM9M | KBC Asset Mgmt. | 5 | 7,23 | 33,99 | 92,17 | 29,04 | |
| KBC Renta Yenrenta (auss.) | A0HM9N | KBC Asset Mgmt. | 7,21 | 10,37 | 13,00 | 8,68 | ||
| KBC Renta Yenrenta (thes.) | A0HM9Z | KBC Asset Mgmt. | 7,28 | 10,40 | 13,04 | 33,49 | ||
| KBC Renta Zlotyrenta (auss.) | A0HM91 | KBC Asset Mgmt. | 6,89 | 18,05 | 22,65 | 103,99 | ||
| KBC Renta Zlotyrenta (thes.) | A0HM90 | KBC Asset Mgmt. | 5 | 6,91 | 18,10 | 22,75 | 47,32 | |
| KBL EPB Equity Fund II - Europe | 590289 | KBC Asset Mgmt. | 3 | -3,63 | 26,44 | -36,39 | 67,43 | |
| KBL EPB Equity Fund II - Japan JPY | 590287 | KBC Asset Mgmt. | 4 | -12,67 | -22,21 | -63,04 | 1.719,78 | |
| KBL EPB Equity Fund II - North America EUR | A0EQ93 | KBC Asset Mgmt. | -10,29 | 32,41 | -23,15 | 3,60 | ||
| KBL EPB Equity Fund II - North America USD | 935582 | KBC Asset Mgmt. | 3 | -8,86 | 34,91 | -17,85 | 39,58 | |
| Merck Finck Vermögensverwaltung Ausgewogen | A0M6PU | KBC Asset Mgmt. | -3,97 | 42,03 | ||||
| Merck Finck Vermögensverwaltung Offensiv | A0M6PW | KBC Asset Mgmt. | -6,89 | 39,24 | ||||