Fonds-Suche

Suchen

133 Fonds Ergebnisse

Name WKN KVG F-Fex
Rating
Morningstar
Rating
FNG
Siegel
1J Perf.
%
5J Perf.
%
10J Perf.
%
Volumen
in Mio.
Schroder Asian Discovery Fund Z Accumulation GBP Fonds A1W8CJ Schroder Unit Trusts 1,03 - - 176,05
Schroder Asian Discovery Fund Z Income GBP Fonds A2P9KZ Schroder Unit Trusts 1,06 - - 176,05
Schroder Asian Income Fund A Accumulation GBP Fonds 730099 Schroder Unit Trusts 13,89 - - 1385,19
Schroder Asian Income Fund A Income GBP Fonds 730809 Schroder Unit Trusts 13,91 - - 1385,19
Schroder Asian Income Fund L Accumulation GBP Fonds A2P9KJ Schroder Unit Trusts 14,85 - - 1385,19
Schroder Asian Income Fund L Income GBP Fonds A2P9PE Schroder Unit Trusts 14,85 - - 1385,19
Schroder Asian Income Fund Z Accumulation GBP Fonds A1J9S7 Schroder Unit Trusts 14,77 - - 1385,19
Schroder Asian Income Fund Z Income GBP Fonds A1KCYG Schroder Unit Trusts 14,76 - - 1385,19
Schroder Asian Income Maximiser A Accumulation GBP Fonds A2P9ND Schroder Unit Trusts 10,63 - - 201,93
Schroder Asian Income Maximiser A Income GBP Fonds A2PEA6 Schroder Unit Trusts 10,59 - - 201,93
Schroder Asian Income Maximiser L Accumulation GBP Fonds A2P9PX Schroder Unit Trusts 11,37 - - 201,93
Schroder Asian Income Maximiser L Income GBP Fonds A2P9PL Schroder Unit Trusts 11,35 - - 201,93
Schroder Asian Income Maximiser Z Accumulation GBP Fonds A2P9MQ Schroder Unit Trusts 11,30 - - 201,93
Schroder Asian Income Maximiser Z Income GBP Fonds A116BC Schroder Unit Trusts 11,28 - - 201,93
Schroder Countrywide Managed Balanced Fund Q1 GBP Acc Fonds A2QBF9 Schroder Unit Trusts 10,35 - - 1113,79
Schroder Diversified Growth I Acc Fonds A2P9M9 Schroder Unit Trusts 8,60 - - 1016,4
Schroder Diversified Growth X Accumulation GBP Fonds A3DTYY Schroder Unit Trusts 9,11 - - 1326,7
Schroder European Fund A Accumulation GBP Fonds A1J5VU Schroder Unit Trusts 17,86 - - 750,41
Schroder European Fund A Income GBP Fonds A2P9QC Schroder Unit Trusts 17,88 - - 750,41
Schroder European Fund I Accumulation GBP Fonds A0RAVP Schroder Unit Trusts 18,89 - - 750,41