Nom
ISIN
  Type de rendement
Devise
Société de fonds Prix de rachat
Date
Perf. 3M Perf. 1A Perf. 3A Perf. 5A SR (1A)
Vola (1A)
 
ADVANCED ASSET MANAGEMENT SICAV - O...
LU0331047315
reinvestment
EUR
Link Fund Sol. (LUX) 1,176.8300
17/06/2024
+2.29% +11.98% +13.55% +41.47% 1.10
7.58%
ADVANCED ASSET MANAGEMENT SICAV - O...
LU2397084638
reinvestment
USD
Link Fund Sol. (LUX) 1,163.0500
17/06/2024
+2.50% - - - -
-
BANOR SICAV - EUROPEAN DIVIDEND PLU...
LU0290355394
reinvestment
EUR
Link Fund Sol. (LUX) 1,457.2700
17/06/2024
+3.53% - - - -
-
BANOR SICAV - EUROPEAN DIVIDEND PLU...
LU0290354744
reinvestment
EUR
Link Fund Sol. (LUX) 13.0000
17/06/2024
+3.34% +6.04% - - 0.25
9.28%
BANOR SICAV - EUROPEAN DIVIDEND PLU...
LU1082251064
paying dividend
EUR
Link Fund Sol. (LUX) 10.9600
17/06/2024
+3.40% - - - -
-
GLOBAL MANAGERS PLATFORM - BEHAVIOU...
LU1105777707
paying dividend
EUR
Link Fund Sol. (LUX) 90.2390
17/06/2024
+5.41% +1.22% +6.36% +16.97% -0.23
10.91%
GLOBAL MANAGERS PLATFORM - BEHAVIOU...
LU1105777616
paying dividend
EUR
Link Fund Sol. (LUX) 97.9670
17/06/2024
+5.55% +1.77% +8.10% +20.14% -0.18
10.91%
VG SICAV - MBC DIVERSIFIED FUND - I...
LU1605679882
reinvestment
EUR
Link Fund Sol. (LUX) 978.0300
17/06/2024
+0.75% - - - -
-
VG SICAV - MBC DIVERSIFIED FUND - R...
LU1605679023
reinvestment
EUR
Link Fund Sol. (LUX) 904.9800
17/06/2024
+0.50% +1.21% - - -1.04
2.4%
VG SICAV - MBC DIVERSIFIED FUND - U...
LU1605679536
reinvestment
USD
Link Fund Sol. (LUX) 973.3200
17/06/2024
+0.78% - - - -
-