Titel
ISIN
  Ertragstyp
Währung
Fondsgesellschaft Rückn. Preis
Datum
Perf. 3M Perf. 1J Perf. 3J Perf. 5J SR (1J)
Vola. (1J)
 
J.B.Germany-Focus Fd.Balanc.IT EUR
DE000A2QSGJ0
thesaurierend
EUR
Universal-Investment 98.5900
04.06.2024
+2.48% +11.49% - - 1.49
5.21%
J.B.Germany-Focus Fd.Balanc.V EUR
DE000A2QSGV5
ausschüttend
EUR
Universal-Investment 96.2900
04.06.2024
+2.60% +11.94% - - 1.58
5.2%
J.B.Germany-Focus Fd.Grow.A EUR
DE000A2DVS69
ausschüttend
EUR
Universal-Investment 113.6800
04.06.2024
+2.78% +13.27% +2.40% +25.19% 1.43
6.65%
J.B.Germany-Focus Fd.Grow.I EUR
DE000A2DVS77
ausschüttend
EUR
Universal-Investment 118.0900
04.06.2024
+2.93% +13.93% +4.20% +28.87% 1.53
6.64%
J.B.Germany-Focus Fd.Inc.I EUR
DE000A2JF7X4
ausschüttend
EUR
Universal-Investment 98.7800
04.06.2024
+1.54% +7.91% -6.01% +3.12% 1.12
3.71%
JRS-INTERNATIONAL-UNIVERSAL-FONDS
DE0009848473
ausschüttend
EUR
Universal-Investment 53.1800
04.06.2024
-0.30% +14.91% +5.64% +35.49% 1.28
8.69%
Julius Baer Germany - Focus Fund Ba...
DE000A14XM50
ausschüttend
EUR
Universal-Investment 117.5000
04.06.2024
+2.39% +10.99% -0.22% +15.93% 1.39
5.21%
Julius Baer Germany - Focus Fund Ba...
DE000A14XM68
ausschüttend
EUR
Universal-Investment 123.2400
04.06.2024
+2.52% +11.58% +1.43% +19.09% 1.51
5.2%
KirAc Stiftungsfonds Omega
DE000A2QCXW2
ausschüttend
EUR
Universal-Investment 98.4500
04.06.2024
+1.88% +9.33% +0.50% - 1.52
3.66%
Kirchröder Vermögensbildungsfonds 1...
DE000A0MY013
ausschüttend
EUR
Universal-Investment 158.9900
04.06.2024
+4.43% +13.96% +12.89% +47.17% 1.45
7.07%
L&H Multi Strategie UI
DE000A1JBY86
ausschüttend
EUR
Universal-Investment 132.5800
04.06.2024
+3.13% +12.27% +9.30% +21.40% 2.22
3.84%
Leonardo UI - Anteilklasse G
DE000A0MYG12
ausschüttend
EUR
Universal-Investment 183.8900
04.06.2024
+2.12% +14.17% +6.24% +30.87% 2.60
4.01%
Leonardo UI I
DE000A2QSG71
ausschüttend
EUR
Universal-Investment 1'015.1800
04.06.2024
+2.23% +14.72% - - 2.74
4.01%
LF - AI Balanced Multi Asset R
DE000A2P0T77
ausschüttend
EUR
Universal-Investment 54.8000
04.06.2024
+1.48% +5.56% +3.28% - 0.27
6.66%
LF - AI Balanced Multi Asset RH
DE000A2P0T69
ausschüttend
EUR
Universal-Investment 27.4800
04.06.2024
+1.63% +5.79% +3.14% - 0.30
6.67%
LF - AI Balanced Multi Asset S
DE000A2P0T51
ausschüttend
EUR
Universal-Investment 28.3700
04.06.2024
+1.79% +6.59% +5.62% - 0.43
6.63%
LF - AI Dynamic Multi Asset R
DE000A2P0T36
ausschüttend
EUR
Universal-Investment 61.2900
04.06.2024
+1.66% +8.24% +4.08% - 0.55
8.16%
LF - AI Dynamic Multi Asset S
DE000A2P0T10
ausschüttend
EUR
Universal-Investment 32.2700
04.06.2024
+2.74% +10.11% +7.37% - 0.78
8.12%
LF - AI Defensive Multi Asset R
DE000A2P0UB1
ausschüttend
EUR
Universal-Investment 53.8500
04.06.2024
+1.07% +5.38% +2.77% - 0.33
4.9%
LF - AI Defensive Multi Asset RH
DE000A2P0UA3
ausschüttend
EUR
Universal-Investment 26.9600
04.06.2024
+1.13% +5.52% +2.56% - 0.36
4.89%
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