Fonds-Suche

Suchen

31 Fonds Ergebnisse

Name WKN KVG F-Fex
Rating
Morningstar
Rating
FNG
Siegel
1J Perf.
%
5J Perf.
%
10J Perf.
%
Volumen
in Mio.
GEM Debt Hard Currency Investment Grade XDHEUR Fonds A117YQ HSBC Global Asset Management E 3,87 -13,09 0,01 62,02
HSBC Discountstrukturen AC Fonds A0JDCK HSBC Global Asset Management C 4,66 14,08 25,12 30,23
HSBC Discountstrukturen IC Fonds A0NA4K HSBC Global Asset Management C 5,18 16,44 30,05 30,23
HSBC Discountstrukturen ID Fonds A2PTX5 HSBC Global Asset Management C 1,98 10,51 - 30,23
HSBC Discountstrukturen ZC Fonds A2QK8H HSBC Global Asset Management 5,39 18,11 - 30,23
HSBC Euro Credit Non-Financial Bond AC Fonds 515200 HSBC Global Asset Management C 2,51 -4,26 5,25 93,5
HSBC Euro Credit Non-Financial Bond ID Fonds A0Q7S3 HSBC Global Asset Management C 2,98 -1,42 10,54 93,5
HSBC Euro Credit Non-Financial Bond ZD Fonds A2QK8L HSBC Global Asset Management 3,22 -0,28 - 93,1
HSBC Euro Credit Subordinated Bond AC Fonds A1JZLH HSBC Global Asset Management C 3,89 4,60 19,70 29,71
HSBC Euro Credit Subordinated Bond ID Fonds A0H0RA HSBC Global Asset Management C 4,36 7,27 26,08 28,7
HSBC Euro Credit Subordinated Bond ZD Fonds A2QK8K HSBC Global Asset Management 4,55 8,20 - 28,7
HSBC German Equity AC Fonds 848980 HSBC Global Asset Management C 2,75 41,76 126,91 11,91
HSBC German Equity ID Fonds A2PYC7 HSBC Global Asset Management C 3,50 46,65 - 11,91
HSBC Horizont 16+ ID Fonds A2PBFM HSBC Global Asset Management A 22,83 45,83 - 22,97
HSBC Horizont 1J Substanz AD Fonds A1C0TA HSBC Global Asset Management D 2,62 -0,50 0,88 26,21
HSBC Horizont 1J Substanz FD Fonds A41SWD HSBC Global Asset Management - - - 25,47
HSBC Horizont 2-7J Balanced AC Fonds A0NA4H HSBC Global Asset Management C 14,83 19,91 47,13 63,04
HSBC Horizont 2-7J Balanced FD Fonds A41SWF HSBC Global Asset Management - - - 63,04
HSBC Horizont 2-7J Balanced ZC Fonds A2DHSA HSBC Global Asset Management 16,27 28,43 - 53,19
HSBC Horizont 8-15J Dynamik AC Fonds A0NA4G HSBC Global Asset Management A 25,69 39,92 91,34 119,83