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19 Fonds Ergebnisse

Name WKN KVG F-Fex
Rating
Morningstar
Rating
FNG
Siegel
1J Perf.
%
5J Perf.
%
10J Perf.
%
Volumen
in Mio.
SKAGEN Focus A Fonds A14SVY SKAGEN AS C -4,03 94,20 123,11 248,87
SKAGEN Focus B Fonds A14SVZ SKAGEN AS -3,62 95,42 - 315,82
SKAGEN Focus C Fonds A14SV0 SKAGEN AS -2,44 19,11 - 248,87
SKAGEN Global A Fonds A0DLFA SKAGEN AS B 11,13 77,46 187,31 3303,66
SKAGEN Global B Fonds A118ZM SKAGEN AS B 11,35 79,48 - 3303,66
SKAGEN Global C Fonds SKAGEN AS -9,78 72,98 - 3377,89
SKAGEN Global D Fonds SKAGEN AS 11,69 82,13 201,82 3303,66
SKAGEN Kon-Tiki A Fonds A0HHBV SKAGEN AS C 2,63 55,73 67,90 1243,24
SKAGEN Kon-Tiki B Fonds A1XFXZ SKAGEN AS 3,08 59,09 - 1243,24
SKAGEN Kon-Tiki C Fonds SKAGEN AS 2,86 57,54 71,52 1243,24
SKAGEN Kon-Tiki D Fonds SKAGEN AS 2,80 58,79 74,61 1243,24
SKAGEN Kon-Tiki E Fonds SKAGEN AS 2,96 60,92 77,96 1243,24
SKAGEN Kon-Tiki F Fonds SKAGEN AS 2,36 - - 1243,24
SKAGEN m2 A Fonds A1J7XC SKAGEN AS D 4,02 21,33 75,69 110,34
SKAGEN m2 B Fonds A2JFQX SKAGEN AS 4,31 23,07 - 110,34
SKAGEN m2 C Fonds A2JFQY SKAGEN AS 3,84 21,12 75,39 110,34
SKAGEN Vekst A Fonds A0BLVF SKAGEN AS B 3,95 116,19 166,49 987,73
SKAGEN Vekst B Fonds SKAGEN AS 3,67 - - 987,73
SKAGEN Vekst C Fonds SKAGEN AS 4,10 127,90 189,38 987,73