Fonds-Suche

Suchen

149 Fonds Ergebnisse

Name WKN KVG F-Fex
Rating
Morningstar
Rating
FNG
Siegel
1J Perf.
%
5J Perf.
%
10J Perf.
%
Volumen
in Mio.
Santander GO Emerging Asian Equity M USD Accumulation Fonds Santander Asset Management 47,96 - - 169,97
Santander GO Emerging Asian Equity ME EUR Accumulation Fonds Santander Asset Management - - - 169,97
Santander Go Global Environmental Solutions I USD Acc Fonds A40E02 Santander Asset Management - - - 6,18
Santander GO Global Equity A USD Acc Fonds A2PQ37 Santander Asset Management 16,86 68,43 - 690,97
Santander GO Global Equity AE EUR Acc Fonds A2P3G0 Santander Asset Management C 2,54 75,31 - 690,97
Santander GO Global Equity AEH EUR Acc Fonds A3DH8U Santander Asset Management 14,19 - - 690,97
Santander GO Global Equity B USD Acc Fonds A2PQ38 Santander Asset Management 17,34 71,85 - 690,97
Santander GO Global Equity BE EUR Acc Fonds A2P3G1 Santander Asset Management 2,96 78,85 - 690,97
Santander GO Global Equity BEH Fonds Santander Asset Management 14,59 54,48 - 690,97
Santander GO Global Equity I USD Acc Fonds A2PQ39 Santander Asset Management 18,10 77,48 - 690,97
Santander GO Global Equity IKP GBP Acc Fonds Santander Asset Management 7,34 80,56 - 690,97
Santander GO Global Equity M USD Acc Fonds Santander Asset Management 18,28 78,78 - 690,97
Santander GO Global Equity RKP GBP Acc Fonds Santander Asset Management 7,13 78,99 - 690,97
Santander GO Global Equity SE EUR Acc Fonds Santander Asset Management 3,58 - - 690,97
Santander GO Global Equity SEH EUR Acc Fonds Santander Asset Management - - - 690,97
Santander GO Global Equity V USD Acc Fonds Santander Asset Management 44,04 130,72 - 690,97
Santander GO Global High Yield Bd A USD Fonds A3DH36 Santander Asset Management 7,39 - - 121,04
Santander GO Global High Yield Bd AE EUR Fonds A3DH35 Santander Asset Management -5,77 - - 121,04
Santander GO Global High Yield Bd I USD Fonds A3DH34 Santander Asset Management 15,27 - - 121,04
Santander GO Global High Yield Bd IEH EUR Fonds A3DH5E Santander Asset Management 5,79 - - 121,04