Titel
ISIN
  Ertragstyp
Währung
Fondsgesellschaft Rückn. Preis
Datum
Perf. 3M Perf. 1J Perf. 3J Perf. 5J SR (1J)
Vola. (1J)
 
LBBW Opti Return T
LU0281807569
ausschüttend
EUR
LRI Invest 39.0200
12.06.2024
+1.06% +1.14% -22.98% -27.08% -0.54
4.77%
LBBW Global Risk Parity Fund
LU0281805860
thesaurierend
EUR
LRI Invest 38.7600
12.06.2024
+1.81% +0.75% -26.31% -28.41% -0.58
5.13%
LBBW Bond Select T
LU0281806322
thesaurierend
EUR
LRI Invest 50.9900
12.06.2024
+0.43% +0.51% -16.71% -16.76% -0.71
4.55%
AMF - Renten Welt I
LU1009607372
ausschüttend
EUR
LRI Invest 41.0500
12.06.2024
-6.06% -2.31% -13.82% -10.87% -0.94
6.46%
AMF - Renten Welt P
LU1009606721
ausschüttend
EUR
LRI Invest 40.2300
12.06.2024
-6.14% -2.52% -14.42% -11.86% -0.97
6.46%