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|
||||||||||||||
| Fonds/ISIN | Risikoklasse (1-4) |
Performance | per | Details | ||
|---|---|---|---|---|---|---|
| 1 Monat | 1 Jahr | 3 Jahre p.a. | ||||
|
UNIQA Portfolio I
AT0000A1X8A9 |
2 | 0,38% | 2,21% | 3,80% | 10.07. |
|
|
UNIQA Portfolio II
AT0000A1X8C5 |
3 | 1,17% | 3,43% | 5,13% | 10.07. |
|
|
UNIQA Portfolio III
AT0000A1X8E1 |
3 | 1,71% | 11,53% | 8,79% | 10.07. |
|
|
UNIQA Portfolio IV
AT0000A1X8G6 |
4 | 1,84% | 15,65% | 10,73% | 10.07. |
|
|
UNIQA Portfolio V
AT0000A34JK4 |
4 | 1,59% | 16,80% | 11,71% | 10.07. |
|
|
Portefeuille I - Hohe Sicherheit
AT0000A22NS4 |
2 | 0,43% | 1,84% | 3,83% | 10.07. |
|
|
Portefeuille II - Risikoarm
AT0000A22NT2 |
3 | 0,80% | 3,96% | 4,42% | 10.07. |
|
|
Portefeuille III - Ausgewogen
AT0000A22NU0 |
3 | 0,82% | 12,33% | 9,02% | 10.07. |
|
|
Portefeuille IV - Dynamisch
AT0000A22NV8 |
4 | 1,69% | 19,34% | 11,99% | 10.07. |
|
|
Portefeuille I - Sicherheit Plus
AT0000722673 |
2 | 0,42% | 2,64% | 4,78% | 10.07. |
|
|
Portefeuille II - Sicherheit
AT0000636493 |
3 | 0,73% | 6,41% | 6,41% | 10.07. |
|
|
Portefeuille III - Ertrag
AT0000A056H9 |
3 | 1,16% | 9,38% | 8,89% | 10.07. |
|
|
Portefeuille IV - Wachstum
AT0000722608 |
4 | 2,68% | 21,85% | 14,82% | 10.07. |
|
|
ABW Raiffeisen-Osteuropa-Aktien (R) T
AT0000A33123 |
- | - | - | 01.01. |
|
|
|
AXA IM All Country Asia Pacific Ex-Japan Small Cap Equity QI - B USD ACC
IE0004334029 |
4 | -2,24% | 18,67% | 17,73% | 09.07. |
|
|
AXA IM Japan Equity B Accumulation EUR
IE0031069614 |
4 | 4,28% | 36,44% | 18,87% | 09.07. |
|
|
AXA IM Japan Equity B Accumulation JPY
IE0004354209 |
4 | 4,48% | 47,58% | 26,04% | 09.07. |
|
|
AXA WF Optimal Income - A EUR ACC
LU0179866438 |
3 | 1,95% | 15,97% | 10,20% | 09.07. |
|
|
AllStars Balanced - EUR ACC
AT0000810643 |
3 | 0,55% | 7,60% | 6,53% | 10.07. |
|
|
AllStars Conservative - R EUR ACC
AT0000615836 |
3 | 0,53% | 3,20% | 4,39% | 10.07. |
|
|
AllStars Opportunities - EUR ACC
AT0000810650 |
3 | 0,27% | 13,23% | 9,49% | 10.07. |
|
|
Amundi Gold Stock - T EUR ACC
AT0000675095 |
4 | -5,61% | 52,18% | 36,51% | 10.07. |
|
|
Amundi Mega Trends - T USD ACC
AT0000A2MJL9 |
4 | 0,73% | 18,77% | 12,60% | 10.07. |
|
|
Amundi Öko Sozial Euro Short Term Bond - T EUR ACC
AT0000A05TK3 |
2 | 0,21% | 1,63% | 3,61% | 10.07. |
|
|
BGF Emerging Markets Ex-China - A2 EUR ACC H
LU2719174067 |
4 | -0,99% | 54,71% | - | 10.07. |
|
|
BGF Emerging Markets Fund A2 USD
LU0047713382 |
4 | 3,42% | 46,37% | 17,24% | 10.07. |
|
|
BGF European Special Situations Fund - A2 EUR ACC
LU0154234636 |
4 | 2,28% | 1,91% | 4,56% | 10.07. |
|
|
BGF Global Allocation Fund A2 EUR
LU0171283459 |
3 | 3,06% | 16,75% | 11,44% | 10.07. |
|
|
BGF Global Allocation Fund A2 Hedged CHF
LU0343169966 |
3 | 1,37% | 8,99% | 8,17% | 10.07. |
|
|
BGF Global Allocation Fund A2 Hedged EUR
LU0212925753 |
3 | 1,63% | 11,40% | 10,57% | 10.07. |
|
|
BGF Japan Small & MidCap Opportunities Fund - A2 JPY ACC
LU0249411835 |
4 | 2,18% | 42,64% | 25,89% | 10.07. |
|
|
BGF Latin American Fund A2 USD
LU0072463663 |
4 | 4,30% | 17,73% | 4,46% | 10.07. |
|
|
BGF US Basic Value Fund A2 USD
LU0072461881 |
4 | 4,38% | 22,93% | 15,41% | 10.07. |
|
|
BGF World Energy Fund A2 USD
LU0122376428 |
4 | -3,22% | 29,38% | 13,87% | 10.07. |
|
|
BGF World Mining Fund A2 USD
LU0075056555 |
4 | -5,17% | 51,42% | 17,63% | 10.07. |
|
|
BNP Paribas Funds Europe Growth - Classic EUR ACC
LU0823404248 |
4 | 2,16% | -0,46% | 2,03% | 09.07. |
|
|
BNP Paribas Funds Responsible US Multi-Factor Equity - Classic USD ACC
LU1956163023 |
4 | 2,94% | 21,52% | 18,09% | 09.07. |
|
|
BSF European Absolute Return Fund - A2 EUR ACC
LU0411704413 |
4 | 1,63% | 0,54% | 2,89% | 09.07. |
|
|
Bantleon Changing World Conservative - PT EUR ACC
LU3082012520 |
3 | -0,20% | 7,80% | - | 09.07. |
|
|
Bantleon Changing World PT EUR
LU1808872888 |
3 | 0,80% | 11,98% | 10,64% | 09.07. |
|
|
C-QUADRAT ARTS Best Momentum T
AT0000825393 |
-2,80% | 26,01% | 11,41% | 10.07. |
|
|
|
C-QUADRAT ARTS Total Return Balanced - EUR ACC
AT0000634704 |
3 | -2,16% | 11,35% | 6,08% | 10.07. |
|
|
C-QUADRAT ARTS Total Return Dynamic - EUR ACC
AT0000634738 |
3 | -3,79% | 18,47% | 7,59% | 10.07. |
|
|
C-QUADRAT ARTS Total Return Global-AMI - AMI EUR DIS
DE000A0F5G98 |
4 | -2,14% | 22,39% | 9,64% | 10.07. |
|
|
C-QUADRAT ARTS Total Return Value Invest Protect - EUR
AT0000A03K55 |
2 | 0,55% | 5,68% | 4,69% | 10.07. |
|
|
C-QUADRAT ARTS Total Return Vorsorge § 14 EStG - EUR ACC
AT0000A02PE1 |
3 | -0,24% | 11,54% | 6,13% | 10.07. |
|
|
CT (Lux) Emerging Market Corporate Bonds - AEH EUR ACC H
LU0143865482 |
2 | 0,01% | 2,57% | 4,62% | 09.07. |
|
|
CT (Lux) European High Yield Bond 1E EUR
LU1829334579 |
2 | 0,56% | 3,34% | 6,76% | 09.07. |
|
|
CT (Lux) Global Select 1U USD
LU1864957219 |
4 | 2,52% | 10,45% | 16,16% | 09.07. |
|
|
CT (Lux) Pan European Equities 1E EUR
LU1832003567 |
4 | 4,52% | 16,01% | 12,97% | 09.07. |
|
|
Carmignac Investissement A EUR Acc
FR0010148981 |
4 | 2,97% | 29,61% | 22,68% | 09.07. |
|
|
Carmignac Patrimoine A EUR Acc
FR0010135103 |
3 | 1,43% | 10,21% | 9,41% | 09.07. |
|
|
Carmignac Portfolio Emerging Patrimoine - A EUR ACC
LU0592698954 |
3 | 4,80% | 25,85% | 10,28% | 09.07. |
|
|
Carmignac Sécurité AW EUR Acc
FR0010149120 |
2 | 0,19% | 1,07% | 4,02% | 09.07. |
|
|
Credit Suisse Euroreal A EUR
DE0009805002 |
4 | - | 0,81% | 2,62% | 09.07. |
|
|
DJE - Gold & Ressourcen - PA (EUR)
LU0159550077 |
4 | -4,46% | 36,11% | 22,97% | 10.07. |
|
|
DWS ESG Qi LowVol Europe NC
DE0008490822 |
4 | 2,69% | 8,87% | 11,02% | 10.07. |
|
|
DWS German Equities Typ O
DE0008474289 |
4 | 5,35% | 5,69% | 14,05% | 10.07. |
|
|
DWS Global Hybrid Bond Fund LD
DE0008490988 |
4 | 0,82% | 3,47% | 7,51% | 10.07. |
|
|
DWS India LC
LU0068770873 |
4 | 6,32% | -9,96% | 0,90% | 10.07. |
|
|
DWS Invest Chinese Equities LC
LU0273157635 |
4 | 0,08% | 6,86% | 6,52% | 09.07. |
|
|
DWS Invest ESG Global Emerging Markets Equities - LC EUR ACC
LU1984220373 |
4 | 4,12% | 48,14% | 20,06% | 09.07. |
|
|
DWS Invest Short Duration Income LC
LU2220514363 |
2 | 0,12% | 1,57% | 3,56% | 09.07. |
|
|
DWS Invest Top Asia LC
LU0145648290 |
4 | 1,12% | 44,21% | 16,87% | 09.07. |
|
|
Ethna-AKTIV A EUR
LU0136412771 |
3 | 0,08% | 11,32% | 7,88% | 10.07. |
|
|
Ethna-DEFENSIV T EUR
LU0279509144 |
3 | 0,07% | 1,02% | 4,60% | 10.07. |
|
|
FTC Gideon I - R01 EUR ACC
AT0000499785 |
4 | 2,06% | 21,41% | 13,18% | 10.07. |
|
|
FarSighted Defensive PortFolio - EUR ACC
AT0000802608 |
3 | 0,56% | 5,86% | 6,54% | 10.07. |
|
|
FarSighted Global PortFolio - T3 EUR ACC
AT0000A23KG3 |
4 | 2,35% | 16,09% | 10,69% | 10.07. |
|
|
Fidelity Funds - America Fund A-ACC-USD
LU0251131958 |
4 | 1,57% | 13,11% | 10,25% | 09.07. |
|
|
Fidelity Funds - Australian Diversified Equity Fund - A AUD ACC
LU0261950041 |
4 | 0,69% | -0,12% | 8,38% | 09.07. |
|
|
Fidelity Funds - China Consumer Fund - A EUR ACC
LU0594300096 |
4 | 0,68% | -1,99% | -0,92% | 09.07. |
|
|
Fidelity Funds - Emerging Europe, Middle East and Africa Fund - A EUR ACC
LU0303816705 |
4 | 3,83% | 28,67% | 22,45% | 09.07. |
|
|
Fidelity Funds - Emerging Europe, Middle East and Africa Fund SP
LU2536453348 |
4 | - | - | - | 01.01. |
|
|
Fidelity Funds - Emerging Markets Fund - A USD ACC
LU0261950470 |
4 | -0,33% | 49,37% | 22,63% | 09.07. |
|
|
Fidelity Funds - Euro Bond Fund - A EUR ACC
LU0251130638 |
2 | -0,20% | -0,59% | 3,23% | 09.07. |
|
|
Fidelity Funds - Europe Equity ESG Fund - A EUR ACC
LU0251128657 |
4 | 3,44% | 19,14% | 13,79% | 09.07. |
|
|
Fidelity Funds - European Growth Fund - A EUR ACC
LU0296857971 |
4 | 3,02% | 6,66% | 11,68% | 09.07. |
|
|
Fidelity Funds - European Multi Asset Income Fund - A EUR ACC
LU0261950553 |
3 | 1,68% | 4,31% | 7,27% | 09.07. |
|
|
Fidelity Funds - Global Technology Fund - A EUR DIS
LU0099574567 |
4 | -2,74% | 23,68% | 20,42% | 09.07. |
|
|
Fidelity Funds - Global Thematic Opportunities Fund - A USD ACC
LU0251132253 |
4 | -1,74% | 19,09% | 14,84% | 09.07. |
|
|
Fidelity Funds - Greater China Fund - A USD DIS
LU0048580855 |
4 | -3,30% | 21,52% | 14,65% | 09.07. |
|
|
Fidelity Funds - Pacific Fund A-USD
LU0049112450 |
4 | 1,25% | 37,37% | 19,61% | 09.07. |
|
|
Fidelity Funds - US High Yield Fund - A EUR ACC
LU0261953904 |
2 | 1,87% | 9,27% | 6,40% | 09.07. |
|
|
Fidelity Funds - World Fund A-Euro
LU0069449576 |
4 | 3,25% | 24,58% | 16,08% | 09.07. |
|
|
Franklin Biotechnology Discovery Fund - A USD ACC
LU0109394709 |
4 | 20,73% | 91,13% | 30,55% | 09.07. |
|
|
Franklin Global Fundamental Strategies Fund - A EUR ACC
LU0316494805 |
3 | 2,23% | 13,26% | 10,37% | 09.07. |
|
|
Franklin Mutual European Fund - N USD ACC
LU0128530259 |
4 | 3,07% | 14,05% | 16,33% | 09.07. |
|
|
Global Advantage Funds - Lingohr Emerging Markets Value - A EUR ACC
LU0047906267 |
4 | -0,37% | 22,13% | 11,45% | 09.07. |
|
|
Global Value Quant Selection Fund - E EUR ACC
LI0278323840 |
4 | 3,23% | 5,40% | 4,38% | 09.07. |
|
|
GreenStars Moderate - R EUR ACC
AT0000729298 |
3 | 0,85% | 4,07% | 5,37% | 10.07. |
|
|
GreenStars Opportunities - R01 EUR ACC
AT0000A1YH15 |
3 | 2,14% | 11,64% | 10,99% | 10.07. |
|
|
HSBC GLOBAL INVESTMENT FUNDS - CHINESE EQUITY - AC USD ACC
LU0164865239 |
4 | 0,66% | 9,89% | 11,70% | 09.07. |
|
|
HSBC GLOBAL INVESTMENT FUNDS - INDIAN EQUITY - AC USD ACC
LU0164881194 |
4 | 4,23% | -13,07% | 5,22% | 09.07. |
|
|
International Asset Management Fund - Flexible Invest - P EUR DIS
LU0224193077 |
4 | 0,48% | 12,79% | 7,77% | 09.07. |
|
|
Invesco Asian Equity Fund - A USD DIS
LU1775951525 |
4 | -1,33% | 32,67% | 17,36% | 10.07. |
|
|
Invesco Global Real Assets Fund - A EUR ACC H
LU1775976605 |
4 | 0,91% | 11,90% | 8,75% | 10.07. |
|
|
Invesco Japanese Equity Advantage Fund - A JPY ACC
LU0607514717 |
4 | 4,02% | 40,10% | 17,20% | 10.07. |
|
|
Invesco Pan European Equity Fund - A EUR ACC
LU0028118809 |
4 | 2,14% | 23,94% | 13,78% | 10.07. |
|
|
Invesco Pan European Small Cap Equity Fund - A EUR ACC
LU0028119013 |
4 | -0,20% | 2,18% | 10,30% | 10.07. |
|
|
Invesco Umwelt und Nachhaltigkeits Fonds
DE0008470477 |
4 | 3,46% | 27,46% | 14,76% | 09.07. |
|
|
JPMorgan Funds - America Equity Fund - D USD ACC
LU0117861202 |
4 | 0,83% | 11,80% | 16,29% | 10.07. |
|
|
JPMorgan Funds - Asia Pacific Equity Fund - D USD ACC
LU0441854741 |
4 | 0,44% | 43,86% | 23,07% | 10.07. |
|
|
JPMorgan Funds - China Fund - A USD ACC
LU0210526637 |
4 | 1,09% | 9,49% | 6,32% | 10.07. |
|
|
JPMorgan Funds - Emerging Europe Equity Fund - D EUR ACC
LU0117895796 |
4 | - | - | -81,18% | 24.03. |
|
|
JPMorgan Funds - Emerging Markets Equity Fund - A USD ACC
LU0210529656 |
4 | 2,12% | 50,36% | 20,97% | 10.07. |
|
|
JPMorgan Funds - Europe Dynamic Technologies Fund - A EUR ACC
LU0210532015 |
4 | -9,07% | 19,07% | 10,52% | 10.07. |
|
|
JPMorgan Funds - Europe Equity Fund - D EUR ACC
LU0117858596 |
4 | 3,42% | 19,13% | 15,34% | 10.07. |
|
|
JPMorgan Funds - Europe Strategic Value Fund - D EUR ACC
LU0117858752 |
4 | 3,79% | 27,17% | 21,74% | 10.07. |
|
|
JPMorgan Funds - Global Focus Fund - C EUR ACC
LU0168343191 |
4 | 2,76% | 13,09% | 13,89% | 10.07. |
|
|
JPMorgan Funds - Global Research Enhanced Index Equity Fund - A USD ACC
LU2402382688 |
4 | 1,00% | 19,58% | 18,78% | 09.07. |
|
|
JPMorgan Funds - Middle East, Africa and Emerging Europe Opportunities Fund - D EUR ACC H
LU2659281880 |
4 | -0,94% | 8,70% | - | 10.07. |
|
|
JPMorgan Funds - US Small Cap Growth Fund - D USD ACC
LU0117881226 |
4 | 5,45% | 29,83% | 12,34% | 10.07. |
|
|
JPMorgan Investment Funds - Global Balanced Fund - A USD ACC H
LU0957039414 |
3 | 0,85% | 10,81% | 9,93% | 10.07. |
|
|
JPMorgan Investment Funds - Global Macro Opportunities Fund - A EUR ACC
LU0095938881 |
3 | -0,12% | -1,01% | 0,33% | 10.07. |
|
|
JPMorgan Investment Funds - Japan Sustainable Equity Fund - A JPY ACC
LU0070214613 |
4 | 2,91% | 38,00% | 21,78% | 10.07. |
|
|
JSS Equity - Europe P EUR acc
LU0484532444 |
4 | 3,08% | 17,66% | 8,38% | 09.07. |
|
|
JSS Multi Asset - Global Opportunities - P CHF DIS H
LU2273130133 |
3 | 1,36% | 7,12% | - | 09.07. |
|
|
JSS Sustainable Equity - Global Thematic - P EUR ACC
LU0480508919 |
4 | 1,88% | 13,30% | 8,36% | 09.07. |
|
|
JSS Sustainable Equity - Global Thematic - P EUR DIS
LU0229773345 |
4 | 1,88% | 13,30% | 8,36% | 09.07. |
|
|
JSS Sustainable Equity - Green Planet - P EUR ACC
LU0707700596 |
4 | 0,89% | 23,83% | 9,89% | 09.07. |
|
|
JSS Sustainable Equity - Real Estate Global - P EUR ACC
LU0288928376 |
4 | 4,71% | 11,17% | 6,71% | 09.07. |
|
|
JSS Sustainable Equity - USA P USD acc
LU0526864581 |
4 | 1,79% | 14,21% | 14,54% | 09.07. |
|
|
KEPLER Emerging Markets Rentenfonds T
AT0000718598 |
0,70% | 8,94% | 8,91% | 10.07. |
|
|
|
KEPLER Ethik Aktienfonds - EUR ACC
AT0000675665 |
4 | 2,75% | 30,24% | 18,76% | 10.07. |
|
|
KEPLER Ethik Quality Aktienfonds - EUR ACC
AT0000722657 |
4 | 3,64% | 9,57% | 10,13% | 10.07. |
|
|
KEPLER Ethik Rentenfonds - EUR ACC
AT0000642632 |
2 | 0,03% | 1,08% | 3,80% | 10.07. |
|
|
KEPLER Growth Aktienfonds - EUR ACC
AT0000607387 |
4 | 1,47% | 17,35% | 16,77% | 10.07. |
|
|
KEPLER High Grade Corporate Rentenfonds - EUR ACC
AT0000653696 |
2 | 0,05% | 1,39% | 4,81% | 10.07. |
|
|
KEPLER High Yield Corporate Rentenfonds - EUR ACC
AT0000722541 |
2 | 0,52% | 2,92% | 6,06% | 10.07. |
|
|
KEPLER Realzins Plus Rentenfonds - EUR ACC
AT0000600671 |
2 | -0,25% | 1,56% | 2,08% | 10.07. |
|
|
KEPLER Short Invest Rentenfonds - EUR ACC
AT0000A044U8 |
0,24% | 2,31% | 3,61% | 10.07. |
|
|
|
KEPLER Small Cap Aktienfonds - EUR ACC
AT0000653670 |
4 | 3,35% | 23,63% | 13,72% | 10.07. |
|
|
KEPLER US Aktienfonds - USD ACC
AT0000722574 |
4 | 0,82% | 20,30% | 18,39% | 10.07. |
|
|
KEPLER Vorsorge Rentenfonds - EUR ACC
AT0000722566 |
2 | -0,24% | 0,51% | 2,51% | 10.07. |
|
|
Kathrein ESG Euro Bond - (R) EUR ACC
AT0000779772 |
2 | -0,68% | -0,68% | 1,59% | 10.07. |
|
|
LLB Aktien Immobilien Europa - EUR ACC
AT0000746268 |
4 | 4,04% | 1,42% | 6,50% | 10.07. |
|
|
LLB Semper Real Estate - EUR ACC
AT0000615158 |
4 | -0,10% | -2,98% | -5,77% | 10.07. |
|
|
La Française Systematic Multi Asset Allocation - R EUR DIS
DE0009763235 |
4 | 1,17% | 6,83% | 7,03% | 09.07. |
|
|
M & W Invest - M & W Capital
LU0126525004 |
3 | -2,44% | 46,90% | 30,87% | 09.07. |
|
|
M&G (Lux) North American Dividend Fund - A EUR ACC
LU1670627253 |
4 | 1,27% | 9,79% | 11,82% | 10.07. |
|
|
M&G (Lux) Optimal Income Fund EUR A Acc
LU1670724373 |
3 | 0,23% | 1,52% | 4,11% | 10.07. |
|
|
M&G Global Themes Fund EUR A Acc
GB0030932676 |
4 | 1,90% | 19,22% | 11,05% | 10.07. |
|
|
MAGELLAN C
FR0000292278 |
4 | -1,85% | 42,85% | 13,79% | 09.07. |
|
|
Morgan Stanley Investment Funds Sustainable Emerging Markets Equity Fund - A USD ACC
LU0073229840 |
4 | -1,03% | 48,19% | 24,29% | 10.07. |
|
|
Nordea 1 - Low Duration US High Yield Bond Fund - BP USD ACC
LU0602537069 |
3 | 0,40% | 4,81% | 6,09% | 10.07. |
|
|
Nordea 1 - Norwegian Bond Fund - BP NOK ACC
LU0087209911 |
3 | -0,11% | -0,53% | 3,58% | 10.07. |
|
|
Nordea 1 - Norwegian Short-Term Bond Fund - BP NOK ACC
LU0078812822 |
3 | 0,43% | 5,19% | 6,00% | 10.07. |
|
|
Nordea 1 - Swedish Bond Fund - BP - SEK
LU0064320186 |
3 | 0,45% | -0,45% | 2,89% | 10.07. |
|
|
Optima Rentenfonds T
AT0000A066L0 |
0,37% | 1,94% | 4,23% | 10.07. |
|
|
|
PARIUM - Dynamic Fund - P
LU0425671830 |
3 | -0,35% | 10,88% | 8,07% | 08.07. |
|
|
PARIUM - Relaxed Fund - P
LU0425671327 |
3 | 0,33% | 12,40% | 7,95% | 08.07. |
|
|
Patriarch Select Chance B
LU0250688156 |
4 | 1,66% | 9,25% | 5,25% | 10.07. |
|
|
Patriarch Select Ertrag B
LU0250686374 |
4 | 0,62% | 5,75% | 4,57% | 10.07. |
|
|
Patriarch Select Wachstum B
LU0250687000 |
4 | 1,15% | 10,30% | 7,44% | 10.07. |
|
|
Pictet - Emerging Markets - P USD
LU0130729220 |
4 | -2,77% | 32,74% | 16,74% | 09.07. |
|
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Pictet - Japanese Equity Selection - P JPY ACC
LU0176900511 |
4 | 6,64% | 38,09% | 18,14% | 09.07. |
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Pictet - Water - P EUR
LU0104884860 |
4 | 3,00% | -2,02% | 3,92% | 09.07. |
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Portfolio Economist - EUR ACC
AT0000A36HN7 |
3 | 0,43% | 9,73% | - | 10.07. |
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Portfolio Fair Dynamic - (IT) EUR ACC
AT0000A3E867 |
4 | 0,88% | 12,51% | - | 10.07. |
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Raiffeisen Global Income II - (R) EUR ACC
AT0000A3A3L2 |
2 | 1,36% | 9,25% | - | 10.07. |
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Raiffeisen-Active-Aktien (R) (T)
AT0000796453 |
1,51% | 27,25% | 15,49% | 10.07. |
|
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Raiffeisen-Active-Commodities (R) (T)
AT0000A0DXB4 |
-6,06% | 33,16% | 13,87% | 10.07. |
|
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|
Raiffeisen-Asia-Opportunities-ESG-Aktien - (R) EUR ACC
AT0000745864 |
4 | 5,91% | 54,35% | 22,26% | 10.07. |
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Raiffeisen-ESG-Euro-Corporates - (R) EUR ACC
AT0000712526 |
3 | 0,21% | 1,50% | 4,26% | 10.07. |
|
|
Raiffeisen-ESG-Euro-Rent - (R) EUR ACC
AT0000805445 |
2 | 0,12% | 0,22% | 2,87% | 10.07. |
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|
Raiffeisen-ESG-Global-Rent - (R) EUR ACC
AT0000805486 |
2 | 0,56% | 0,89% | -0,12% | 10.07. |
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Raiffeisen-EmergingMarkets-ESG-Transformation-Rent - (R) EUR ACC
AT0000636741 |
3 | 0,29% | 6,09% | 6,39% | 10.07. |
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Raiffeisen-Energie-Aktien (R) (T)
AT0000688676 |
-3,75% | 42,79% | 13,93% | 10.07. |
|
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Raiffeisen-Euro-ShortTerm-Rent (R) (T)
AT0000822606 |
0,22% | 1,65% | 3,27% | 10.07. |
|
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|
Raiffeisen-Europa-HighYield - (R) EUR ACC
AT0000796537 |
3 | 0,65% | 2,89% | 6,81% | 10.07. |
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|
Raiffeisen-Global-Fundamental-Rent - (R) EUR ACC
AT0000A0P7W6 |
3 | 1,06% | 0,92% | 1,82% | 10.07. |
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|
Raiffeisen-GlobalDividend-ESG-Aktien - (R) EUR ACC
AT0000495296 |
3 | 4,53% | 24,41% | 18,53% | 10.07. |
|
|
Raiffeisen-GreenBonds - (R) EUR ACC
AT0000A292M0 |
2 | 0,08% | 0,90% | 3,16% | 10.07. |
|
|
Raiffeisen-Inflationsschutz-Anleihen - (R) EUR ACC
AT0000622014 |
2 | 0,03% | 2,10% | 2,35% | 10.07. |
|
|
Raiffeisen-MegaTrends-ESG-Aktien - (R) EUR ACC
AT0000820147 |
4 | 1,79% | 29,04% | 15,16% | 10.07. |
|
|
Raiffeisen-Nachhaltigkeit-Aktien - (R) EUR ACC
AT0000677919 |
4 | 2,86% | 17,86% | 10,46% | 10.07. |
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Raiffeisen-Nachhaltigkeit-Dollar-ShortTerm-Rent - (R) USD ACC
AT0000805247 |
3 | 0,21% | 2,70% | 4,22% | 10.07. |
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Raiffeisen-Nachhaltigkeit-EmergingMarkets-Aktien - (R) EUR ACC
AT0000A1TB34 |
4 | 5,42% | 49,02% | 20,55% | 10.07. |
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Raiffeisen-Nachhaltigkeit-Europa-Aktien - (R) EUR ACC
AT0000805387 |
3 | 1,72% | 11,63% | 8,91% | 10.07. |
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|
Raiffeisen-Nachhaltigkeit-Mix - (R) EUR ACC
AT0000805361 |
3 | 1,63% | 9,04% | 6,75% | 10.07. |
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|
Raiffeisen-Nachhaltigkeit-Momentum - (R) EUR ACC
AT0000A1PKP3 |
4 | 0,73% | 8,84% | 3,85% | 10.07. |
|
|
Raiffeisen-Nachhaltigkeit-Rent - (R) EUR ACC
AT0000805221 |
2 | -0,08% | 0,97% | 2,98% | 10.07. |
|
|
Raiffeisen-Nachhaltigkeit-ShortTerm - (R) EUR ACC
AT0000A190X3 |
2 | 0,22% | 1,53% | 2,98% | 10.07. |
|
|
Raiffeisen-Nachhaltigkeit-US-Aktien - (R) EUR ACC
AT0000764758 |
4 | 1,96% | 23,10% | 14,79% | 10.07. |
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|
Raiffeisen-Nachhaltigkeit-ÖsterreichPlus-Aktien - (R) EUR ACC
AT0000805189 |
3 | 3,61% | 24,24% | 15,71% | 10.07. |
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|
Raiffeisen-NewInfrastructure-ESG-Aktien - (R) EUR ACC
AT0000A09ZK2 |
4 | -0,05% | 24,13% | 14,68% | 10.07. |
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Raiffeisen-Osteuropa-Rent (R) (T)
AT0000740659 |
0,97% | 5,80% | 5,43% | 10.07. |
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Raiffeisen-PAXetBONUM-Anleihen - (R) EUR DIS
AT0000707385 |
2 | 0,62% | 2,75% | 4,14% | 10.07. |
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Raiffeisen-Zentraleuropa-ESG-Aktien - (R) EUR ACC
AT0000805460 |
4 | 3,56% | 30,19% | 28,07% | 10.07. |
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Raiffeisen-Österreich-Rent - (R) EUR ACC
AT0000805163 |
2 | 0,08% | 0,57% | 2,88% | 10.07. |
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Raiffeisenfonds-Ertrag (R) (T)
AT0000818927 |
0,78% | 12,82% | 9,02% | 10.07. |
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Raiffeisenfonds-Sicherheit (R) (T)
AT0000811641 |
0,65% | 5,69% | 5,30% | 10.07. |
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|
|
Raiffeisenfonds-Wachstum (R) (T)
AT0000811617 |
1,45% | 19,16% | 12,05% | 10.07. |
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Salus Alpha Special Situations R EUR
LU1280956597 |
3 | 0,32% | -6,84% | -3,20% | 09.07. |
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|
Schroder International Selection Fund European Sustainable Equity - A EUR ACC
LU1910162970 |
4 | 1,52% | 11,70% | 8,43% | 10.07. |
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|
Templeton Asian Growth Fund - A USD ACC
LU0128522157 |
4 | 3,05% | 53,45% | 22,62% | 09.07. |
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|
Templeton BIC Fund - A (acc) EUR
LU0229946628 |
4 | 1,12% | 17,22% | 14,72% | 09.07. |
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|
Templeton Growth (Euro) Fund - A EUR ACC
LU0114760746 |
4 | 3,22% | 12,87% | 10,83% | 09.07. |
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Top Dividend T
DE000A2DL4G4 |
3 | 1,49% | 14,02% | 10,16% | 09.07. |
|
|
UBS (Lux) Commodity Index Plus USD Fund - BH EUR ACC
LU0755570602 |
4 | -4,11% | 23,02% | 8,73% | 08.07. |
|
|
UniAsia
LU0037079034 |
4 | -0,30% | 44,36% | 20,50% | 09.07. |
|
|
UniDynamicFonds: Europa A
LU0085167236 |
4 | 3,35% | 3,83% | 8,27% | 09.07. |
|
|
UniRak Konservativ ESG A
LU1572731245 |
3 | 1,24% | 3,87% | 5,38% | 09.07. |
|
|
Vontobel Fund - Emerging Markets Equity - B USD ACC
LU0040507039 |
4 | 2,73% | 40,70% | 15,27% | 09.07. |
|
|
Weltstrategie PLUS - R EUR ACC
AT0000A0XNA5 |
3 | 0,86% | 10,94% | 8,38% | 10.07. |
|
|
YOU INVEST FLEXIBLE Portfolio 30 - R01 EUR ACC
AT0000A09R60 |
3 | 0,82% | 7,01% | 5,83% | 10.07. |
|
|
abrdn SICAV I - Asian Smaller Companies Fund - A USD ACC
LU0231459107 |
4 | -1,66% | 19,93% | 18,64% | 10.07. |
|
|
abrdn SICAV I - Emerging Markets Equity Fund - A USD ACC
LU0132412106 |
4 | -1,32% | 52,77% | 21,21% | 10.07. |
|
|
abrdn SICAV I - US Dollar Credit Sustainable Bond Fund - A USD ACC
LU1646952801 |
2 | 0,03% | 3,61% | 4,90% | 10.07. |
|
|
immofonds 1 - EUR DIS
AT0000632195 |
4 | 0,31% | 2,14% | 2,21% | 09.07. |
|
|
smart-invest - HELIOS AR - B
LU0146463616 |
4 | 0,94% | 10,33% | 6,60% | 09.07. |
|