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2.686 Fonds Ergebnisse

Name WKN KVG F-Fex
Rating
Morningstar
Rating
FNG
Siegel
1J Perf.
%
5J Perf.
%
10J Perf.
%
Volumen
in Mio.
BlackRock Global Funds - India Fund D2 Fonds A0Q0QL BlackRock E -14,38 64,08 105,31 411,38
BlackRock Global Funds - India Fund D2 Fonds A1JRXK BlackRock E -14,38 64,08 105,31 411,38
BlackRock Global Funds - India Fund D4 Fonds A1J4QT BlackRock -14,28 55,88 132,94 411,38
BlackRock Global Funds - India Fund E2 Fonds A0JK56 BlackRock E -15,42 54,20 81,26 411,38
BlackRock Global Funds - India Fund E2 Fonds A0JK57 BlackRock E -15,42 54,20 81,26 411,38
BlackRock Global Funds - India Fund I2 Fonds A3C2J5 BlackRock -14,21 - - 411,38
BlackRock Global Funds - India Fund A2 Fonds A0JK53 BlackRock E -15,02 58,09 90,55 411,38
BlackRock Global Funds - India Fund A2 Fonds A0JK52 BlackRock E -15,02 58,09 90,55 411,38
BlackRock Global Funds - India Fund X2 Fonds A0JK58 BlackRock -13,51 72,60 - 411,38
BlackRock Global Funds - Japan Flexible Equity Fund A10 HKD Hedged Fonds BlackRock 21,34 - - 580,59
BlackRock Global Funds - Japan Flexible Equity Fund A10 USD Hedged Fonds BlackRock 23,00 - - 580,59
BlackRock Global Funds - Japan Flexible Equity Fund A2 SGD Hedged Fonds BlackRock - - - 580,59
BlackRock Global Funds - Japan Flexible Equity Fund A4 Fonds A0HGU8 BlackRock 12,64 39,05 149,00 580,59
BlackRock Global Funds - Japan Flexible Equity Fund C2 Fonds A0D9QK BlackRock 16,90 95,74 141,12 580,59
BlackRock Global Funds - Japan Flexible Equity Fund C2 Fonds A0D9QL BlackRock 16,90 95,74 141,12 580,59
BlackRock Global Funds - Japan Flexible Equity Fund C2 Fonds A0PHAE BlackRock 16,90 95,74 141,12 580,59
BlackRock Global Funds - Japan Flexible Equity Fund D2 Fonds A1J4NN BlackRock C 13,53 52,65 113,33 580,59
BlackRock Global Funds - Japan Flexible Equity Fund D2 Fonds A1J4NP BlackRock 13,53 52,65 113,33 580,59
BlackRock Global Funds - Japan Flexible Equity Fund D2 EUR Hedged Fonds A1J4NQ BlackRock A 21,65 122,96 187,97 580,59
BlackRock Global Funds - Japan Flexible Equity Fund D4 Fonds A1J4NM BlackRock 13,63 44,92 169,42 580,59