Fonds im Fokus

Suchbegriff:
TrancheISINScope PeergroupRatingErstes RatingAuM (Mio.)Dokumente
FalseLupus alpha Global Convertible Bonds CLU1535992389A2DJR62/6/2017Wandel- und Optionsanleihen Welt EURO-HedgedLupus alpha Investment GmbHA801/31/20201/31/2021119.77EUR0.43 %0.43 %11.56 %13.17 %20.63 %7.66 % 32.30 % 9.98 %36.11 %63.89 %-6.66 %-10.33 % 0.82 %0.60 %4.00 % 50,000EURDeutschland
FalseLupus alpha Sustainable Convertible Bonds CDE000A2DTNQ7A2DTNQ3/1/2018Wandel- und Optionsanleihen Welt EURO-HedgedLupus alpha Investment GmbHA811/31/20201/31/2020103.46EUR1.32 %1.32 %10.26 %11.62 %19.66 %  24.70 %       0.80 %0.75 %4.00 % 1,000EURDeutschland
FalseArabesque SICAV Sustainable Global Equity EURLU2017342317A2PMLN10/1/2019Aktien Nachhaltigkeit/Ethik WeltIPConcept (Luxemburg) S.A.B744/30/20206/30/20203.05EUR2.41 %2.41 %7.66 %5.54 %1.71 %  8.27 %       0.99 %0.72 %0.00 %0.00 %50,000EURDeutschland
FalseCapital Group New Perspective (Lux) B EURLU1295551144A141QR10/30/2015Aktien WeltCapital International Management Company SarlA894/30/20204/30/202036,949.04EUR0.43 %0.43 %15.38 %18.56 %20.13 %14.72 %14.33 %80.66 %517.20 %30.56 %69.44 %-11.37 %-18.07 % 1.63 %1.50 %5.25 %0.00 %0EURDeutschland
FalseLloyd Fonds - European Hidden Champions - AK RDE000A2PB598A2PB594/2/2019Aktien Europa Mid/Small CapsUniversal-Investment-Gesellschaft mbHB675/31/20205/31/2020172.29EUR2.16 %2.16 %37.50 %43.91 %73.63 %  98.99 %       1.90 %1.95 %5.00 %0.00 %1EURDeutschland
FalseODDO BHF Artificial Intelligence CR-USDLU1833932780 1/14/2019Aktien WeltOddo BHF Asset Management SASB685/31/20205/31/2020131.22EUR4.33 %4.33 %16.21 %15.61 %14.66 %  46.36 %       1.74 %1.60 %5.00 % 100USDDeutschland
FalseODDO BHF Credit Opportunities CR-EURLU1752460292 9/7/2018Absolute Return CreditOddo BHF Asset Management SASB715/31/20205/31/2020207.65EUR-0.21 %-0.21 %3.07 %3.56 %4.52 %  8.66 %       1.25 %1.00 %5.00 % 100EURDeutschland
FalseODDO BHF Global Credit Short Duration CR-EURLU1833930495 11/7/2018Renten Euro Corp. High Yield kurzOddo BHF Asset Management SASC595/31/20201/31/2021181.47EUR-0.28 %-0.28 %1.28 %1.48 %-0.48 %  1.23 %       1.01 %0.90 %2.00 % 100EURDeutschland
FalseDeka-BasisAnlage ausgewogenDE000DK2CFR7DK2CFR4/27/2012Mischfonds Global ausgewogenDeka Vermögensmanagement GmbHA786/30/20206/30/20202,748.03EUR0.38 %0.38 %3.29 %2.71 %           1.22 %0.85 %4.00 %0.00 %1EURDeutschland
FalseDeka-BasisAnlage dynamischDE000A2DJVV1A2DJVV1/2/2019Mischfonds Global flexibelDeka Vermögensmanagement GmbHA786/30/20206/30/202068.67EUR0.57 %0.57 %5.27 %4.45 %           1.95 %0.90 %4.00 %0.00 %25EURDeutschland
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