Fonds-Suche

Suchen

1.143 Fonds Ergebnisse

Name WKN KVG F-Fex
Rating
Morningstar
Rating
FNG
Siegel
1J Perf.
%
5J Perf.
%
10J Perf.
%
Volumen
in Mio.
UBAM - Tech Global Leaders Equity IHD EUR Fonds A2P76L UBP Asset Management - - - 28,95
UBAM - Tech Global Leaders Equity IHD GBP Fonds A2P55B UBP Asset Management 20,17 78,86 - 28,95
UBAM - Tech Global Leaders Equity RC USD Fonds A2P94S UBP Asset Management - - - 28,95
UBAM - Tech Global Leaders Equity UC USD Fonds A3DATK UBP Asset Management 21,10 - - 28,95
UBAM - Tech Global Leaders Equity UD USD Fonds A2JQZ7 UBP Asset Management 21,11 90,89 - 28,95
UBAM - Tech Global Leaders Equity UHC SEK Fonds A3D80Y UBP Asset Management - - - 28,95
UBAM - Tech Global Leaders Equity UHD EUR Fonds A2JQZ8 UBP Asset Management 25,92 - - 28,95
UBAM - UBAM - 30 Global Leaders Equity YD EUR Fonds A3EYDQ UBP Asset Management - - - 1121,63
UBP Asset Allocation - Balanced Portfolio EUR AD Inc Fonds A3C23C UBP Asset Management 7,48 - - 355,46
UBP Asset Allocation - Balanced Portfolio EUR Acc Fonds A1WY44 UBP Asset Management 7,91 16,89 33,01 355,46
UBP Asset Allocation - Balanced Portfolio EUR Inc Fonds UBP Asset Management 1,12 - - 355,46
UBP Asset Allocation - Balanced Portfolio EUR MC Acc Fonds A3C23K UBP Asset Management 7,49 - - 355,46
UBP Asset Allocation - Dynamic Portfolio EUR AC USD Acc Fonds A1WY49 UBP Asset Management 8,69 20,47 42,70 53,6
UBP Asset Allocation - Dynamic Portfolio USD AC USD Acc Fonds A3C23M UBP Asset Management 15,13 - - 83,92
UBP Asset Allocation - Dynamic Portfolio EUR AC EUR Acc Fonds A3DLP6 UBP Asset Management 8,01 - - 53,6
UBP Asset Allocation - Dynamic Portfolio USD AD USD Inc Fonds A3DLP5 UBP Asset Management 15,15 - - 83,92
UBP Asset Allocation - Dynamic Portfolio EUR AD EUR Inc Fonds A3C23D UBP Asset Management 8,02 - - 53,6
UBP Asset Allocation - Dynamic Portfolio USD MC Acc Fonds A1WY47 UBP Asset Management 15,81 32,48 73,52 83,92
UBP Flex - Prime Access AC USD Fonds UBP Asset Management - - - 163,01
UBP Flex - Prime Access AHC GBP Fonds UBP Asset Management - - - 163,01