Fonds-Suche

Suchen

466 Fonds Ergebnisse

Name WKN KVG F-Fex
Rating
Morningstar
Rating
FNG
Siegel
1J Perf.
%
5J Perf.
%
10J Perf.
%
Volumen
in Mio.
JSS Equity - Europe C EUR acc Fonds A116GM J. Safra Sarasin Fund Management C -0,34 34,84 45,68 52,19
JSS Equity - Europe C EUR dist Fonds J. Safra Sarasin Fund Management - - - 52,19
JSS Equity - Europe M EUR acc Fonds A14Q0S J. Safra Sarasin Fund Management - - - 52,19
JSS Equity - Europe P EUR dist Fonds 973500 J. Safra Sarasin Fund Management C -0,68 32,48 38,89 52,19
JSS Equity - Europe P EUR acc Fonds A1CSKH J. Safra Sarasin Fund Management C -0,68 32,49 38,90 52,19
JSS Equity - Europe P USD acc Fonds A14XLH J. Safra Sarasin Fund Management 5,19 31,55 43,78 52,19
JSS Equity - Europe Y acc Fonds A14WJP J. Safra Sarasin Fund Management 0,26 38,87 53,44 42,51
JSS Equity - Europe Y EUR dist Fonds J. Safra Sarasin Fund Management - - - 52,19
JSS Equity - Global Dividend C GBP H1 Dis Fonds J. Safra Sarasin Fund Management 6,13 - - 190,3
JSS Equity - Global Dividend C EUR Acc Fonds A2JC4Y J. Safra Sarasin Fund Management 1,77 - - 197,27
JSS Equity - Global Dividend C USD Acc Fonds J. Safra Sarasin Fund Management 7,78 - - 190,3
JSS Equity - Global Dividend C GBP Acc Fonds J. Safra Sarasin Fund Management 3,07 - - 197,27
JSS Equity - Global Dividend C EUR Dis Fonds A2JC4Z J. Safra Sarasin Fund Management 1,77 60,37 - 190,3
JSS Equity - Global Dividend C USD Dis Fonds J. Safra Sarasin Fund Management 7,79 - - 197,27
JSS Equity - Global Dividend E USD Dis Fonds J. Safra Sarasin Fund Management 7,46 56,60 - 197,27
JSS Equity - Global Dividend E USD acc Fonds J. Safra Sarasin Fund Management 7,47 56,60 - 197,27
JSS Equity - Global Dividend I USD acc Fonds J. Safra Sarasin Fund Management 8,31 - - 197,27
JSS Equity - Global Dividend I EUR acc Fonds J. Safra Sarasin Fund Management - - - 197,27
JSS Equity - Global Dividend I10 EUR acc Fonds J. Safra Sarasin Fund Management 2,30 - - 190,3
JSS Equity - Global Dividend M USD Acc Fonds J. Safra Sarasin Fund Management 16,22 - - 197,27