Titel
ISIN
  Ertragstyp
Währung
Fondsgesellschaft Rückn. Preis
Datum
Perf. 3M Perf. 1J Perf. 3J Perf. 5J SR (1J)
Vola. (1J)
 
UniInstitutional Konservativ Nachha...
LU0300981452
ausschüttend
EUR
Union Investment(LU) 96.4900
17.06.2024
+2.41% +8.95% +11.97% +10.81% 1.31
4.05%
UniPrivatmarkt Infrastruktur ELTIF
LU2669726957
ausschüttend
EUR
Union Investment(LU) 101.6300
31.05.2024
+1.63% - - - -
-
UniGarantTop: Europa III
LU0229392385
thesaurierend
EUR
Union Investment(LU) 109.9100
17.06.2024
+1.62% +6.91% -6.12% -3.65% 2.17
1.49%
UniGarantTop: Europe II
LU0214294224
thesaurierend
EUR
Union Investment(LU) 113.9100
17.06.2024
+1.52% +6.80% -3.38% -2.55% 3.42
0.91%
PrivatFonds: Konsequent pro
LU0493584741
thesaurierend
EUR
Union Investment(LU) 107.9300
14.06.2024
+1.25% +5.59% +1.78% -4.21% 0.65
2.89%
PrivatFonds: Konsequent
LU0493492200
thesaurierend
EUR
Union Investment(LU) 94.6000
14.06.2024
+0.83% +3.59% -0.38% -3.05% -0.07
1.79%
UniProfiAnlage (2024)
LU0364819192
thesaurierend
EUR
Union Investment(LU) 112.0900
14.06.2024
+0.82% +3.84% -3.65% -4.43% 0.09
1.3%
UniProfiAnlage (2025)
LU0430014349
thesaurierend
EUR
Union Investment(LU) 111.9100
14.06.2024
+0.66% +2.69% -8.24% -9.84% -0.68
1.51%
UniProfiAnlage (2027)
LU0496184259
thesaurierend
EUR
Union Investment(LU) 111.4900
14.06.2024
+0.65% +3.24% -12.46% -13.42% -0.14
3.3%