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 FinTech DH CHF Fonds Robeco Institutional Asset Management BV -0,52 -12,59 - 443,66
Robeco FinTech F EUR Fonds A2JB16 Robeco Institutional Asset Management BV E -6,82 10,42 - 443,66
Robeco FinTech F USD Fonds A2JHGV Robeco Institutional Asset Management BV 5,68 5,99 - 443,66
Robeco FinTech F GBP Fonds A2JHGT Robeco Institutional Asset Management BV -1,60 7,73 - 443,66
Robeco FinTech FH CHF Fonds Robeco Institutional Asset Management BV 0,21 -9,42 - 443,66
Robeco FinTech I EUR Fonds A2JE9W Robeco Institutional Asset Management BV E -6,80 10,58 - 443,66
Robeco FinTech I USD Fonds A2JHGW Robeco Institutional Asset Management BV 5,71 6,14 - 443,66
Robeco FinTech IH EUR Fonds Robeco Institutional Asset Management BV 2,40 -3,32 - 443,66
Robeco FinTech M2 EUR Fonds Robeco Institutional Asset Management BV -8,44 1,17 - 443,66
Robeco FinTech M2 USD Fonds Robeco Institutional Asset Management BV 3,84 -2,90 - 443,66
Robeco FinTech X GBP Fonds A2QFSL Robeco Institutional Asset Management BV -1,45 8,51 - 443,66
Robeco FinTech X USD Fonds Robeco Institutional Asset Management BV 5,85 6,80 - 443,66
Robeco FinTech X EUR Fonds Robeco Institutional Asset Management BV -6,68 11,24 - 443,66
Robeco FinTech XH CHF Fonds A2QFSP Robeco Institutional Asset Management BV 0,42 -8,64 - 443,66
Robeco FinTech Z EUR Fonds A2PQV2 Robeco Institutional Asset Management BV -5,94 15,78 - 443,66
Robeco Flexible Allocation B EUR Income Fonds Robeco Institutional Asset Management BV 3,28 - - 33,54
Robeco Flexible Allocation C EUR Income Fonds A40K0B Robeco Institutional Asset Management BV 3,95 - - 33,54
Robeco Flexible Allocation D EUR Accumulation Fonds A40K0A Robeco Institutional Asset Management BV 3,27 - - 33,54
Robeco Flexible Allocation E EUR Income Fonds A40K09 Robeco Institutional Asset Management BV 3,28 - - 33,54
Robeco Flexible Allocation F EUR Accumulation Fonds A40K08 Robeco Institutional Asset Management BV 3,96 - - 33,54