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1.143 Fonds Ergebnisse

Name WKN KVG F-Fex
Rating
Morningstar
Rating
FNG
Siegel
1J Perf.
%
5J Perf.
%
10J Perf.
%
Volumen
in Mio.
UBAM - USD Floating Rate Notes A+C USD Fonds A3DJT7 UBP Asset Management 5,59 - - 1382,42
UBAM - USD Floating Rate Notes AD USD Fonds 933545 UBP Asset Management A 5,24 19,30 28,53 1382,42
UBAM - EUR Floating Rate Notes AD EUR Fonds 933546 UBP Asset Management B 3,36 10,32 7,92 354,87
UBAM - USD Floating Rate Notes A+D USD Fonds A3DJT6 UBP Asset Management 5,59 - - 1382,42
UBAM - EUR Floating Rate Notes A+D EUR Fonds UBP Asset Management 3,45 - - 354,87
UBAM - USD Floating Rate Notes AHC EUR Fonds A1C6P9 UBP Asset Management 3,52 11,21 8,07 1382,42
UBAM - USD Floating Rate Notes AHC CHF Fonds A1JRQ9 UBP Asset Management 0,76 2,36 -3,22 1382,42
UBAM - EUR Floating Rate Notes AHC CHF Fonds A1JRRA UBP Asset Management 0,87 2,62 -2,76 354,87
UBAM - USD Floating Rate Notes AHC GBP Fonds A2P5WR UBP Asset Management 5,25 17,90 20,43 1382,42
UBAM - EUR Floating Rate Notes AHC GBP Fonds A14SHU UBP Asset Management 5,31 17,48 19,71 354,87
UBAM - EUR Floating Rate Notes A+HC USD Fonds A3DJUS UBP Asset Management 5,45 - - 354,87
UBAM - EUR Floating Rate Notes A+HC CHF Fonds A3DZJR UBP Asset Management 0,95 - - 354,87
UBAM - USD Floating Rate Notes AHDm GBP Fonds A2P5WS UBP Asset Management 5,25 - - 1382,42
UBAM - USD Floating Rate Notes IC USD Fonds 762234 UBP Asset Management 5,49 20,73 31,66 1382,42
UBAM - EUR Floating Rate Notes IC EUR Fonds 762238 UBP Asset Management B 3,48 10,98 9,47 354,87
UBAM - USD Floating Rate Notes IC EUR Fonds A143UM UBP Asset Management -0,40 21,60 27,19 1382,42
UBAM - EUR Floating Rate Notes I+C EUR Fonds A3CPVL UBP Asset Management 3,58 4,47 3,05 354,87
UBAM - USD Floating Rate Notes ID USD Fonds 762235 UBP Asset Management 5,49 20,73 - 1382,42
UBAM - EUR Floating Rate Notes ID EUR Fonds 762239 UBP Asset Management B 3,48 10,99 9,51 354,87
UBAM - EUR Floating Rate Notes I+Dm EUR Fonds A40DJ7 UBP Asset Management - - - 354,87