Fonds-Suche

Suchen

55 Fonds Ergebnisse

Name WKN KVG F-Fex
Rating
Morningstar
Rating
FNG
Siegel
1J Perf.
%
5J Perf.
%
10J Perf.
%
Volumen
in Mio.
Russell Investment Company plc - Russell Investments Japan Equity Fund E Fonds 479285 Russell Investments 10,33 40,25 104,99 53,62
Russell Investment Company plc - Russell Investments Japan Equity Fund EH-A Fonds A0H09T Russell Investments 30,65 71,13 129,93 82,76
Russell Investment Company plc - Russell Investments Japan Equity Fund F Fonds 570326 Russell Investments 9,46 34,74 88,94 53,62
Russell Investment Company plc - Russell Investments Japan Equity Fund I Fonds 533969 Russell Investments 15,73 35,08 143,67 53,62
Russell Investment Company plc - Russell Investments Japan Equity Fund J Fonds 357503 Russell Investments 16,25 40,44 115,06 53,62
Russell Investment Company plc - Russell Investments Japan Equity Fund N Fonds Russell Investments - - - 53,62
Russell Investment Company plc - Russell Investments Japan Equity Fund P Income Fonds 785168 Russell Investments 15,00 31,45 130,33 53,62
Russell Investment Company plc - Russell Investments Japan Equity Fund SH-I Fonds A0NFB6 Russell Investments 24,84 125,82 195,49 53,62
Russell Investment Company plc - Russell Investments Japan Equity Fund Sovereign Fonds 785167 Russell Investments 18,45 84,75 134,54 53,62
Russell Investment Company plc - Russell Investments Multi-Asset Growth Strategy Sterling A Roll-up Fonds A2ADHA Russell Investments 9,87 29,66 64,56 324,24
Russell Investment Company plc - Russell Investments Multi-Asset Growth Strategy Sterling C Acc Fonds Russell Investments 8,61 22,15 46,05 324,24
Russell Investments Floating Rate Fund Class I AUD H Income Fonds Russell Investments 7,16 29,90 - 203,37
Russell Investments Floating Rate Fund Class I Euro Roll Up Acc Fonds Russell Investments 5,58 24,62 30,64 203,37
Russell Investments Floating Rate Fund Class I JPY H Acc Fonds Russell Investments 3,07 16,20 31,15 203,37
Russell Investments Floating Rate Fund Class I Stg£ H Inc Fonds Russell Investments 7,47 32,26 47,04 203,37