Titel
ISIN
  Ertragstyp
Währung
Fondsgesellschaft Rückn. Preis
Datum
Perf. 3M Perf. 1J Perf. 3J Perf. 5J SR (1J)
Vola. (1J)
 
AI60 (T)
AT0000A10KA3
thesaurierend
EUR
Allianz Invest KAG 1'009.2000
29.05.2024
-0.02% +3.59% -16.41% - -0.03
5.52%
Allianz Invest ESG Defensiv A EUR
AT0000657671
ausschüttend
EUR
Allianz Invest KAG 10.3800
29.05.2024
+0.68% +5.29% -8.79% -4.91% 0.46
3.31%
Allianz Invest ESG Defensiv T EUR
AT0000657689
thesaurierend
EUR
Allianz Invest KAG 15.8600
29.05.2024
+0.63% +5.31% -8.79% -4.95% 0.47
3.3%
Allianz Invest ESG Renten Global (T...
AT0000A36CF4
thesaurierend
EUR
Allianz Invest KAG 102.9500
29.05.2024
-0.34% - - - -
-
Allianz Invest Eurorent A EUR
AT0000A05GX3
ausschüttend
EUR
Allianz Invest KAG 97.4400
29.05.2024
+0.77% +3.54% -3.28% -2.16% -0.19
1.19%
Allianz Invest Eurorent T EUR
AT0000A05H33
thesaurierend
EUR
Allianz Invest KAG 126.2200
29.05.2024
+0.77% +3.55% -3.15% -2.05% -0.19
1.19%
Allianz Invest Mündelrenten A EUR
AT0000848791
ausschüttend
EUR
Allianz Invest KAG 68.0000
29.05.2024
-0.09% +2.79% -10.93% -9.37% -0.21
4.78%
Allianz Invest Mündelrenten T EUR
AT0000721360
thesaurierend
EUR
Allianz Invest KAG 118.1600
29.05.2024
-0.09% +2.77% -10.94% -9.38% -0.21
4.79%
Allianz Invest Nachhaltigkeit Rente...
AT0000A2PNN0
thesaurierend
EUR
Allianz Invest KAG 92.5300
29.05.2024
+0.71% +4.41% - - 0.11
5.8%
Allianz Invest Nachhaltigkeits-Rent...
AT0000A19NT8
ausschüttend
EUR
Allianz Invest KAG 91.0700
29.05.2024
+0.59% +4.22% -6.34% -4.31% 0.20
2.28%
Allianz Invest Rentenfonds A EUR
AT0000824685
ausschüttend
EUR
Allianz Invest KAG 83.6200
29.05.2024
+0.84% +5.78% -9.06% -5.01% 0.47
4.29%
Allianz Invest Rentenfonds T EUR
AT0000739222
thesaurierend
EUR
Allianz Invest KAG 145.4400
29.05.2024
+0.85% +5.79% -9.06% -5.02% 0.47
4.3%
Allianz Invest Stabil (T) EUR
AT0000A1G8B8
thesaurierend
EUR
Allianz Invest KAG 96.4900
29.05.2024
+0.52% +2.74% -0.26% -1.24% -1.25
0.83%
CONVERTINVEST Rendite (A) EUR
AT0000A33DK9
ausschüttend
EUR
Allianz Invest KAG 107.1500
29.05.2024
+1.83% +7.82% - - 1.70
2.39%
CONVERTINVEST Rendite (IA) EUR
AT0000A33DL7
ausschüttend
EUR
Allianz Invest KAG 107.6000
29.05.2024
+1.92% +8.27% - - 1.89
2.39%
CONVERTINVEST Rendite (IT) EUR
AT0000A33DM5
thesaurierend
EUR
Allianz Invest KAG 107.6000
29.05.2024
+1.92% +8.27% - - 1.90
2.38%
CONVERTINVEST Rendite (IVT) EUR
AT0000A33DN3
vollthesaurierend
EUR
Allianz Invest KAG 107.6000
29.05.2024
+1.92% +8.27% - - 1.89
2.38%
K 69-Fonds (A) EUR
AT0000989074
ausschüttend
EUR
Allianz Invest KAG 680.8200
29.05.2024
+1.22% +4.75% +4.20% - 0.41
2.37%
K 69-Fonds (T) EUR
AT0000A0DES8
thesaurierend
EUR
Allianz Invest KAG 955.2500
29.05.2024
+1.22% +4.74% +4.20% - 0.41
2.37%