Fonds-Suche

Suchen

114 Fonds Ergebnisse

Name WKN KVG F-Fex
Rating
Morningstar
Rating
FNG
Siegel
1J Perf.
%
5J Perf.
%
10J Perf.
%
Volumen
in Mio.
Goldman Sachs US$ Treasury Liquid Reserves Fund Preferred Inc Fonds A0NGAU Goldman Sachs Asset Management Fund Services 4,51 14,01 19,37 48228,12
Goldman Sachs US$ Treasury Liquid Reserves Fund Preferred Acc Fonds A0NGAV Goldman Sachs Asset Management Fund Services 4,51 14,20 19,57 48228,12
Goldman Sachs US$ Treasury Liquid Reserves Fund Preferred Acc (T) Fonds A2P1XY Goldman Sachs Asset Management Fund Services 4,52 14,27 - 48228,12
Goldman Sachs US$ Treasury Liquid Reserves Fund R Acc Fonds A1W4S6 Goldman Sachs Asset Management Fund Services 4,67 14,80 21,03 48228,12
Goldman Sachs US$ Treasury Liquid Reserves Fund R Inc Fonds A1W4TC Goldman Sachs Asset Management Fund Services 4,65 14,59 20,75 48228,12
Goldman Sachs US$ Treasury Liquid Reserves Fund R Acc (T) Fonds A2P1XZ Goldman Sachs Asset Management Fund Services 4,67 14,86 - 48228,12
Goldman Sachs US$ Treasury Liquid Reserves Fund Super Administration Acc Fonds A0RBJU Goldman Sachs Asset Management Fund Services 4,10 12,73 16,39 48228,12
Goldman Sachs US$ Treasury Liquid Reserves Fund X Acc Fonds A3CQS9 Goldman Sachs Asset Management Fund Services 4,81 - - 48228,12
Goldman Sachs US$ Treasury Liquid Reserves Fund X Inc Fonds A0RD70 Goldman Sachs Asset Management Fund Services 4,79 15,19 22,22 48228,12
Goldman Sachs US$ Treasury Liquid Reserves Fund X Acc (T) Fonds A2P1X2 Goldman Sachs Asset Management Fund Services 4,81 15,52 - 48228,12
Goldman Sachs Yen Liquid Reserves Fund Institutional Acc Fonds A0MNJG Goldman Sachs Asset Management Fund Services 0,03 -0,97 -2,31 529,27
Goldman Sachs Yen Liquid Reserves Fund Institutional Acc (T) Fonds A2PCAT Goldman Sachs Asset Management Fund Services 0,03 -0,97 - 529,27
Goldman Sachs Yen Liquid Reserves Fund X Acc Fonds A0MNJN Goldman Sachs Asset Management Fund Services 0,12 -0,69 - 529,27
Goldman Sachs Yen Liquid Reserves Fund X Acc (T) Fonds A2PCAU Goldman Sachs Asset Management Fund Services 0,12 -0,69 - 529,27