NAV18.06.2024 Diff.-0,1300 Ertragstyp Ausrichtung Fondsgesellschaft
379,2500EUR -0,03% vollthesaurierend Mischfonds Raiffeisen KAG 
     
Chart for UNIQA Portfolio IV
  Titel   ISIN Performance Volatilität Sharpe Ratio
1. S5 (VT) AT0000A08S45 +14,57% 3,32% 3,29
2. Ventitré (VT) AT0000A34CP8 +15,09% 4,71% 2,43
3. FOCUS 1500 R VA AT0000A07M67 +15,81% 6,16% 1,97
4. Macquarie Euro Target Return Fund (VT) AT0000A0B299 +6,82% 1,64% 1,90
5. Tri Style Fund AT0000701172 +15,69% 6,52% 1,85
6. Macro + Strategy (A) AT0000A0KS01 +16,39% 6,96% 1,83
7. Strategie Invest Dynamic AT0000A02X77 +14,34% 6,75% 1,59
8. Global Flexible Strategy Fund 2 AT0000A2PDM3 +8,49% 3,15% 1,52
9. UNIQA Portfolio IV AT0000A1X8G6 +11,20% 5,29% 1,42
10. PREMIUM SELECT INVEST VTIA AT0000A1TVQ0 +10,86% 5,47% 1,31