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 1,57 -8,60 - 374,16
Robeco FinTech F EUR Fonds A2JB16 Robeco Institutional Asset Management BV E -4,13 16,32 - 374,16
Robeco FinTech F USD Fonds A2JHGV Robeco Institutional Asset Management BV 7,88 10,79 - 374,16
Robeco FinTech F GBP Fonds A2JHGT Robeco Institutional Asset Management BV -0,07 11,16 - 374,16
Robeco FinTech FH CHF Fonds Robeco Institutional Asset Management BV 2,31 -5,32 - 374,16
Robeco FinTech I EUR Fonds A2JE9W Robeco Institutional Asset Management BV E -4,10 16,49 - 374,16
Robeco FinTech I USD Fonds A2JHGW Robeco Institutional Asset Management BV 7,92 10,94 - 374,16
Robeco FinTech IH EUR Fonds Robeco Institutional Asset Management BV 4,57 1,12 - 374,16
Robeco FinTech M2 EUR Fonds Robeco Institutional Asset Management BV -5,79 6,57 - 374,16
Robeco FinTech M2 USD Fonds Robeco Institutional Asset Management BV 6,01 1,49 - 374,16
Robeco FinTech X GBP Fonds A2QFSL Robeco Institutional Asset Management BV 0,07 11,97 - 374,16
Robeco FinTech X USD Fonds Robeco Institutional Asset Management BV 8,06 11,62 - 374,16
Robeco FinTech X EUR Fonds Robeco Institutional Asset Management BV -3,98 17,19 - 374,16
Robeco FinTech XH CHF Fonds A2QFSP Robeco Institutional Asset Management BV 2,53 -4,48 - 374,16
Robeco FinTech Z EUR Fonds A2PQV2 Robeco Institutional Asset Management BV -3,22 21,96 - 374,16
Robeco Flexible Allocation B EUR Income Fonds Robeco Institutional Asset Management BV 3,80 - - 33,63
Robeco Flexible Allocation C EUR Income Fonds A40K0B Robeco Institutional Asset Management BV 4,48 - - 33,63
Robeco Flexible Allocation D EUR Accumulation Fonds A40K0A Robeco Institutional Asset Management BV 3,80 - - 33,63
Robeco Flexible Allocation E EUR Income Fonds A40K09 Robeco Institutional Asset Management BV 3,80 - - 33,63
Robeco Flexible Allocation F EUR Accumulation Fonds A40K08 Robeco Institutional Asset Management BV 4,48 - - 33,63