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24 Fonds Ergebnisse

Name WKN KVG F-Fex
Rating
Morningstar
Rating
FNG
Siegel
1J Perf.
%
5J Perf.
%
10J Perf.
%
Volumen
in Mio.
DGC Stock Selection A CHF Acc Fonds A3DN8V NS Partners -0,61 52,58 112,26 570,68
DGC Stock Selection A EUR Fonds A3DN8W NS Partners 1,75 64,57 135,89 570,68
DGC Stock Selection A USD Acc Fonds A3D022 NS Partners 3,49 78,54 176,65 570,68
DGC Stock Selection AU USD Acc Fonds A3EGS6 NS Partners 12,14 - - 570,68
DGC Stock Selection B CHF Fonds A3DN8Y NS Partners 0,14 58,41 - 570,68
DGC Stock Selection B EUR Acc Fonds A3DN8Z NS Partners 2,52 70,86 155,76 570,68
DGC Stock Selection B USD Acc Fonds A3DN80 NS Partners 4,27 - - 570,68
DGC Stock Selection C EUR Fonds A3DN81 NS Partners 1,24 60,51 - 570,68
Diversified Growth Company - Franck Muller Luxury Fund Class A EUR Acc Fonds A14RZ4 NS Partners -2,82 4,20 29,06 63,64
Diversified Growth Company - Franck Muller Luxury Fund Class A USD Acc Fonds A14RZ3 NS Partners -1,11 13,67 53,52 63,64
Diversified Growth Company - Franck Muller Luxury Fund Class A CHF Acc Fonds A14RZ2 NS Partners -5,08 -3,15 16,97 63,64
Diversified Growth Company - Franck Muller Luxury Fund Class A JPY Acc Fonds NS Partners - - - 76,73
Diversified Growth Company - Franck Muller Luxury Fund Class B EUR Acc Fonds A3DN8T NS Partners -1,94 8,32 - 63,64
Diversified Growth Company - Franck Muller Luxury Fund Class B CHF Acc Fonds A3DN8S NS Partners -4,22 0,75 27,08 63,64
Diversified Growth Company - Franck Muller Luxury Fund Class B YEN Acc Fonds A3DN8U NS Partners -3,97 -0,23 - 63,64
Diversified Growth Company QIC GCC Equity Fund A USD Cap Fonds A14QJ3 NS Partners -3,49 67,60 160,56 141,33
Diversified Growth Company QIC GCC Equity Fund B USD Cap Fonds A14QJ4 NS Partners -2,52 76,19 187,98 141,33
Diversified Growth Company QIC GCC Equity Fund C GBP Cap Fonds NS Partners -6,27 -18,03 - 141,33
Diversified Growth Company QIC GCC Equity Fund C EUR Cap Fonds A2PBCJ NS Partners -11,55 79,58 - 141,33
Giraffa SICAV-SIF - Epicure Middle Eastern Equity Fund C USD Fonds A2PKGY NS Partners 1,72 39,93 - 12,64