Phénix Fund
LI0104009811
Phénix Fund/ LI0104009811 /
NAV 31.05.2024
Diff.-0,1200
Ertragstyp
Ausrichtung
Fondsgesellschaft
112,0800 EUR
-0,11%
thesaurierend
Mischfonds
IFM Indep. Fund M. ▶
Zeitraum: 6 Monate 1 Jahr 2 Jahre 3 Jahre
Anzahl an Fonds: 10 20 50
Titel
ISIN
Performance
Volatilität
Sharpe Ratio
1.
UBS(Lux)K.S.S.-E.G.In.(EUR)QL a.USD H
LU2209017347
+12,47%
4,20%
2,08
2.
Invesco Pan Europ.High Inc.A Acc CZK H
LU1701701309
+10,77%
3,42%
2,07
3.
Invesco Pan European High Income Fund Z (USD hedged) accumulation
LU1252826018
+10,81%
3,47%
2,04
4.
UBS(Lux)K.S.S.-E.G.In.(EUR)Q a.USD H
LU1240794468
+12,25%
4,20%
2,03
5.
Invesco Pan Europ.High Inc.C Acc USD H
LU1297946748
+10,64%
3,41%
2,03
6.
UBS(Lux)K.S.S.-E.G.In.(EUR)P a.USD H
LU1038902505
+11,43%
4,21%
1,83
7.
Invesco Pan European High Income Fund A (USD hedged) accumulation
LU1075211430
+9,96%
3,48%
1,80
8.
Invesco Pan Europ.High Inc.I Acc EUR
LU2469448653
+9,84%
3,45%
1,78
9.
CM-AM FLEXIBLE EURO IC
FR0013489390
+14,78%
6,48%
1,71
10.
Optigest Patrimoine I
FR0011170133
+14,30%
6,37%
1,67