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13 Fonds Ergebnisse

Name WKN KVG F-Fex
Rating
Morningstar
Rating
FNG
Siegel
1J Perf.
%
5J Perf.
%
10J Perf.
%
Volumen
in Mio.
Brookfield Global Listed Core Infrastructure UCITS Fund Euro Institutional Acc Class B Fonds Brookfield Public Securities Group LLC 8,36 - - 45,37
Brookfield Global Listed Core Infrastructure UCITS Fund US Dollar Institutional Acc Class E Fonds Brookfield Public Securities Group LLC 13,53 - - 45,37
Brookfield Global Listed Real Estate UCITS Fund Euro Institutional Unhedged Acc Class B Fonds A1JVG0 Brookfield Public Securities Group LLC 5,60 21,61 11,67 12,42
Brookfield Global Listed Real Estate UCITS Fund Euro RDR Retail Hedged Acc Class I Fonds A2DQR8 Brookfield Public Securities Group LLC 8,18 11,72 - 12,42
Brookfield Global Listed Real Estate UCITS Fund US Dollar Institutional Acc Class E Fonds A1JVGZ Brookfield Public Securities Group LLC 10,66 24,49 15,74 12,42
Brookfield Global Listed Real Estate UCITS Fund US Dollar Institutional Dis Class F Fonds A1106M Brookfield Public Securities Group LLC 7,31 17,16 -0,45 12,42
Brookfield Global Listed Real Estate UCITS Fund US Dollar NonRDR Retail Acc Class V Fonds A2N8R6 Brookfield Public Securities Group LLC 9,75 19,39 - 12,42
Brookfield Global Listed Real Estate UCITS Fund US Dollar NonRDR Retail Dis Class W Fonds A2PJ9A Brookfield Public Securities Group LLC 6,45 11,24 - 12,42
Brookfield Global Renewables and Sustainable Infrastructure UCITS Fund USD Non-RDR Retail Acc Cls V Fonds Brookfield Public Securities Group LLC 9,80 - - 31,52
Brookfield Next Generation Infrastructure UCITS Fund USD Dis Cls F Fonds Brookfield Public Securities Group LLC 8,92 - - 32,37
Brookfield Next Generation Infrastructure UCITS Fund USD Institutional Acc Cls E Fonds Brookfield Public Securities Group LLC 11,60 - - 32,37
Brookfield Next Generation Infrastructure UCITS Fund EUR Instl UnH Acc Cls B Fonds Brookfield Public Securities Group LLC 6,52 - - 32,37
Brookfield Real Assets Securities UCITS Fund US Dollar Institutional Acc Class E Fonds A2AG9Y Brookfield Public Securities Group LLC 10,74 37,97 - 98,82