Titel
ISIN
  Ertragstyp
Währung
Fondsgesellschaft Rückn. Preis
Datum
Perf. 3M Perf. 1J Perf. 3J Perf. 5J SR (1J)
Vola. (1J)
 
FBG Balanced Sustainable PA
DE000A0M2QS4
thesaurierend
EUR
Helaba Invest KAG 58,5700
31.05.2024
+1,30% +8,08% +2,25% +9,64% 0,84
5,1%
FBG Ertragsorientiert RenditePlus E...
DE000A0RCCR8
thesaurierend
EUR
Helaba Invest KAG 48,4200
31.05.2024
+1,04% +4,51% -8,80% -7,24% 0,26
2,75%
FBG Ertragsorientiert RenditePlus E...
DE000A0M2QR6
thesaurierend
EUR
Helaba Invest KAG 48,0300
31.05.2024
+0,88% +4,50% -8,76% -7,30% 0,30
2,36%
FBG Individual R ESG-IA
DE000A2DHSW9
ausschüttend
EUR
Helaba Invest KAG 887,2100
31.05.2024
+0,33% - - - -
-
FBG Individual R ESG-PA
DE000A0RCCW8
ausschüttend
EUR
Helaba Invest KAG 55,3500
31.05.2024
+0,20% +3,27% -7,15% -4,10% -0,20
2,66%
FBG Individual W ESG - IA
DE000A2DHSX7
ausschüttend
EUR
Helaba Invest KAG 1.602,8700
31.05.2024
+1,41% - - - -
-
FBG Individual W ESG-PA
DE000A0RCCX6
ausschüttend
EUR
Helaba Invest KAG 117,2500
31.05.2024
+1,10% +13,32% +17,10% +47,65% 1,31
7,29%
FBG Individual W ESG-PT
DE000A0M58D7
thesaurierend
EUR
Helaba Invest KAG 120,1600
31.05.2024
+1,10% +13,32% +17,10% +47,65% 1,31
7,29%
HI-Corporate Bonds 1-Fonds
DE0005111025
ausschüttend
EUR
Helaba Invest KAG 45,3900
31.05.2024
+0,30% +4,44% -10,18% -5,32% 0,17
3,77%
HI-Corporate Bonds 2-Fonds
DE000A0RDT33
ausschüttend
EUR
Helaba Invest KAG 43,0300
31.05.2024
+0,80% +3,91% -0,89% -0,58% 0,12
0,96%
HI-DividendenPlus-Fonds
DE0002544483
thesaurierend
EUR
Helaba Invest KAG 79,0200
31.05.2024
+7,28% +17,62% +19,04% +23,55% 1,36
10,15%
HI-Green Bond-Fonds
DE000A2QFYB7
ausschüttend
EUR
Helaba Invest KAG 42,9500
31.05.2024
+0,49% +2,60% - - -0,29
4,04%
HI-Pension Solutions-Fonds
DE000A0ER3J5
ausschüttend
EUR
Helaba Invest KAG 42,3400
31.05.2024
+1,51% +8,09% -1,49% -2,20% 1,18
3,64%
HI-Renten Emerging Markets-Fonds
DE000A0ER3P2
ausschüttend
EUR
Helaba Invest KAG 41,1600
31.05.2024
+2,21% +14,49% -5,47% +4,13% 2,44
4,39%
HI-Renten Euro-Fonds
DE000A0ER3M9
ausschüttend
EUR
Helaba Invest KAG 45,1900
31.05.2024
-0,31% +1,91% -14,28% -9,05% -0,35
5,33%
Weberbank Bond Satellite
DE0005319909
ausschüttend
EUR
Helaba Invest KAG 36,2800
31.05.2024
+0,92% +7,60% -11,18% -7,65% 1,21
3,14%
Weberbank Premium 100
DE0005319826
ausschüttend
EUR
Helaba Invest KAG 71,6700
31.05.2024
+4,01% +20,45% +31,20% +49,63% 1,92
8,68%
Weberbank Premium 30
DE0005319800
ausschüttend
EUR
Helaba Invest KAG 48,0800
31.05.2024
+1,24% +8,13% +2,31% +7,15% 1,20
3,63%
Weberbank Premium 50
DE0005319818
ausschüttend
EUR
Helaba Invest KAG 57,2000
31.05.2024
+2,03% +11,54% +10,05% +16,03% 1,60
4,84%
Weberbank Rendite 30
DE000A0JDQQ5
ausschüttend
EUR
Helaba Invest KAG 96,4000
31.05.2024
+1,37% +8,69% -2,86% +1,54% 1,34
3,67%