Fonds-Suche

Suchen

1.279 Fonds Ergebnisse

Name WKN KVG F-Fex
Rating
Morningstar
Rating
FNG
Siegel
1J Perf.
%
5J Perf.
%
10J Perf.
%
Volumen
in Mio.
Robeco Credit Income FH EUR Fonds A3CN7L Robeco Institutional Asset Management BV 8,29 - - 1917,64
Robeco Credit Income I USD Fonds A2QFRB Robeco Institutional Asset Management BV 10,80 15,87 - 1917,64
Robeco Credit Income IBH GBP Fonds Robeco Institutional Asset Management BV 10,57 - - 1917,64
Robeco Credit Income IBx USD Fonds Robeco Institutional Asset Management BV 10,80 15,86 - 1917,64
Robeco Credit Income IBxH AUD Fonds Robeco Institutional Asset Management BV - - - 1917,64
Robeco Credit Income IBxH SGD Fonds Robeco Institutional Asset Management BV 8,16 - - 1917,64
Robeco Credit Income IE USD Fonds A3CN7J Robeco Institutional Asset Management BV 10,80 15,90 - 1917,64
Robeco Credit Income IEH GBP Fonds Robeco Institutional Asset Management BV -0,04 - - 1917,64
Robeco Credit Income IH EUR Fonds A2QFRS Robeco Institutional Asset Management BV 8,38 4,94 - 1917,64
Robeco Credit Income IH GBP Fonds Robeco Institutional Asset Management BV 10,56 12,27 - 1917,64
Robeco Credit Income IH SGD Fonds Robeco Institutional Asset Management BV 8,16 - - 1917,64
Robeco Credit Income M2 USD Fonds Robeco Institutional Asset Management BV -1,51 - - 1917,64
Robeco Credit Income M2H EUR Fonds Robeco Institutional Asset Management BV 6,97 -2,28 - 1917,64
Robeco Credit Income M3 USD Fonds Robeco Institutional Asset Management BV 9,34 7,83 - 1917,64
Robeco Credit Income M3H EUR Fonds Robeco Institutional Asset Management BV 6,94 -2,35 - 1917,64
Robeco Credit Income ZBH AUD Fonds Robeco Institutional Asset Management BV 10,88 13,74 - 1917,64
Robeco Credit Income ZH EUR Fonds Robeco Institutional Asset Management BV 9,05 - - 1917,64
Robeco Digital Innovations D € Fonds Robeco Institutional Asset Management BV -0,74 51,40 - 245,81
Robeco Digital Innovations D $ Fonds Robeco Institutional Asset Management BV 13,43 45,10 - 245,81
Robeco Digital Innovations F € Fonds A2P1G0 Robeco Institutional Asset Management BV C 0,01 57,22 - 245,81