Frankfurter Aktienfonds für Stiftungen - TI/  DE000A12BPP4  /

Fonds
NAV06/06/2024 Chg.+0.6100 Type of yield Investment Focus Investment company
144.7300EUR +0.42% paying dividend Mixed Fund Axxion 
     
Chart for Frankfurter Aktienfonds für Stiftungen - TI
  Name   ISIN Performance Volatility Sharpe ratio
1. Vermögenswerte Global VV I DE000A2P5B80 +18.48% 6.38% 2.31
2. BBBank Dynamik Union DE0005326565 +27.82% 10.69% 2.25
3. Allianz Strategiefonds Wachstum - I - EUR DE000A14N9S1 +21.28% 7.97% 2.20
4. Vermögenswerte Global VV R DE000A2P5B72 +17.30% 6.38% 2.12
5. Vermögenswerte Global VV D DE000A2QAHM0 +17.30% 6.38% 2.12
6. Haspa MultiInvest Chance+ LU0213544652 +22.63% 8.92% 2.12
7. Allianz Strategiefonds Wachstum - A2 - EUR DE0009797639 +20.42% 7.97% 2.09
8. Allianz Strategiefonds Wachstum - A - EUR DE0009797266 +20.42% 7.97% 2.09
9. Lakeview Fund AT0000A1J2C6 +17.37% 6.63% 2.05
10. PIMCO Funds - Global Investors Series plc - PIMCO MLP & Energy Infrastructure Fund Institutional USD Income IE00BRS5SQ72 +29.86% 12.78% 2.04
...
445. Frankfurter Aktienfonds für Stiftungen - TI DE000A12BPP4 +5.48% 8.80% 0.20