Nome
ISIN
  Type of yield
Valuta
Società d'investimento Prezzo di riacquisto
Data
Perf. 3M Perf. 1Y Perf. 3Y Perf. 5Y SR (1a)
Vola. (1a)
 
ZinsPlus Fonds UI
DE000A0X7590
reinvestment
EUR
Universal-Investment 151.3200
16/05/2024
+1.88% +6.99% -1.45% +1.71% 1.39
2.28%
Zindstein Werte-Sammler P
DE000A2DHUA1
paying dividend
EUR
Universal-Investment 49.5600
16/05/2024
+2.67% +1.39% -7.17% +8.02% -0.22
11.2%
Zindstein Werte-Sammler I
DE000A2DHUB9
paying dividend
EUR
Universal-Investment 101.2700
16/05/2024
+2.77% +1.82% -5.84% +8.87% -0.18
11.19%
WoWiVermögen A
DE000A2QCXC4
paying dividend
EUR
Universal-Investment 936.9000
16/05/2024
+1.46% +6.16% -5.79% - 0.87
2.69%
WoWiVermögen - Anteilklasse P
DE000A3D05A7
paying dividend
EUR
Universal-Investment 105.8600
16/05/2024
+1.31% +5.45% - - 0.61
2.69%
World Market Fund I
DE000A2DKRG8
reinvestment
EUR
Universal-Investment 142.7600
16/05/2024
+4.02% +12.54% +16.69% +35.99% 1.08
8.09%
World Market Fund - Anteilklasse R
DE000A1CS5F8
reinvestment
EUR
Universal-Investment 198.8900
16/05/2024
+4.02% +12.54% +16.72% +36.00% 1.08
8.09%
Wealth Advisory Systemic Income Fun...
DE000A3E18S0
reinvestment
EUR
Universal-Investment 102.4700
16/05/2024
+2.47% - - - -
-
WAVE Total Return ESG - Anteilklass...
DE000A0MU8A8
paying dividend
EUR
Universal-Investment 54.5100
16/05/2024
+2.87% +7.21% +8.32% +16.07% 1.27
2.67%
WAVE Total Return ESG - Anteilklass...
DE000A0MU8D2
paying dividend
EUR
Universal-Investment 56.7800
16/05/2024
+2.99% +7.75% +10.35% +19.05% 1.48
2.66%
WACHSTUM GLOBAL - Anteilklasse R
DE000A12BPS8
paying dividend
EUR
Universal-Investment 69.3600
16/05/2024
+5.25% +10.91% +11.78% +31.00% 1.44
4.92%
WACHSTUM GLOBAL - Anteilklasse I
DE000A0NJGU7
paying dividend
EUR
Universal-Investment 101.5600
16/05/2024
+5.00% +10.90% +12.76% +31.90% 1.44
4.91%
Wachstum Defensiv - Anteilklasse R
DE000A0Q86B3
paying dividend
EUR
Universal-Investment 125.8000
16/05/2024
+2.56% +6.18% +3.10% +10.50% 0.91
2.58%
Wachstum Defensiv - Anteilklasse I
DE000A0Q86C1
paying dividend
EUR
Universal-Investment 134.5200
16/05/2024
+2.69% +6.64% +4.14% +13.03% 1.09
2.58%
VR Bank Kitzingen eG Euro Control n...
DE0009789875
paying dividend
EUR
Universal-Investment 40.2500
16/05/2024
+7.53% +5.57% +1.40% +0.53% 0.36
4.88%
Voba pur Premium R Fonds UI - Antei...
DE000A0M8WY7
paying dividend
EUR
Universal-Investment 45.9900
16/05/2024
+1.46% +7.46% -1.86% +5.54% 1.33
2.74%
Voba pur Premium R Fonds UI - Antei...
DE000A0M80S9
paying dividend
EUR
Universal-Investment 1,161.0200
16/05/2024
+1.51% +7.66% -1.36% +6.67% 1.41
2.72%
Voba pur Premium A Fonds UI - Antei...
DE000A0M8WZ4
paying dividend
EUR
Universal-Investment 73.3300
16/05/2024
+2.56% +19.07% +11.51% +39.05% 1.65
9.24%
Voba pur Premium A Fonds UI - Antei...
DE000A0M80R1
paying dividend
EUR
Universal-Investment 1,583.3101
16/05/2024
+2.68% +19.53% +12.66% +42.28% 1.72
9.16%
Vermögensmandat Strategie Wachstum
DE000A1110F2
reinvestment
EUR
Universal-Investment 115.9800
16/05/2024
+3.75% +11.29% +5.35% +10.78% 1.37
5.44%
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