Neue Ratings im Quartal

Suchbegriff:
TrancheISINScope PeergroupRatingErstes RatingAuM (Mio.)Dokumente
FalseDB PWM II - Active Asset Alloc Pfolio Cons USD ALU0327312368A0M8GS4/8/2009Mischfonds Global konservativHauck & Aufhauser Fund Services SA(B)671/31/20201/31/20207.75EUR2.34 %2.34 %3.35 %4.62 %13.75 %3.98 %3.47 %84.48 %45.93 %44.44 %55.56 %-7.89 %-7.89 % 0.80 %0.10 %6.00 %0.00 %1USDDeutschland
FalseDB PWM II - Active Asset Alloc Pfolio Core (Eur) ALU0327311634A0M7LV11/28/2007Mischfonds Global ausgewogenHauck & Aufhauser Fund Services SA(C)591/31/20201/31/2020237.96EUR0.28 %0.28 %2.88 %4.12 %11.94 %4.28 %2.92 %38.14 %45.59 %33.33 %66.67 %-5.28 %-3.84 % 0.67 %0.10 %6.00 %0.00 %1EURDeutschland
FalseDB PWM II - Active Asset Alloc Pfolio Growth EUR ALU0327311980A0M7LX1/9/2008Mischfonds Global dynamischHauck & Aufhauser Fund Services SA(C)521/31/20201/31/202039.34EUR0.11 %0.11 %3.75 %5.54 %15.10 %5.36 %3.89 %37.04 %47.81 %38.89 %61.11 %-7.29 %-5.60 % 0.76 %0.10 %6.00 %0.00 %1EURDeutschland
FalseDB PWM II - Active Asset Alloc Pfolio Growth USD ALU0327313176A0M8GW4/8/2009Mischfonds Global dynamischHauck & Aufhauser Fund Services SA(B)771/31/20201/31/202030.05EUR1.62 %1.62 %5.19 %6.93 %19.61 %7.24 %6.07 %159.74 %58.68 %36.11 %63.89 %-5.59 %-6.10 % 0.73 %0.10 %6.00 %0.00 %1USDDeutschland
FalseDB PWM II - Active Asst Alloc Portfolio Core USD ALU0327312798A0M8GU4/8/2009Mischfonds Global ausgewogenHauck & Aufhauser Fund Services SA(B)731/31/20201/31/202042.34EUR2.02 %2.02 %4.42 %5.93 %16.97 %5.76 %4.87 %124.49 %46.95 %44.44 %55.56 %-6.75 %-6.75 % 0.67 %0.10 %6.00 %0.00 %1USDDeutschland
FalseDB PWM II-Active Asset Alloc Portf - Cons (Euro) ALU0327311477A0M7LT11/28/2007Mischfonds Global konservativHauck & Aufhauser Fund Services SA(B)611/31/20201/31/2020114.66EUR0.46 %0.46 %1.77 %2.34 %8.17 %2.87 %1.77 %28.37 %33.27 %36.11 %63.89 %-2.88 %-2.10 % 0.66 %0.10 %6.00 %0.00 %1EURDeutschland
FalseAvH Emerging Markets Fonds UI AK BDE000A1145G6A1145G1/16/2015Aktien Emerging MarketsUniversal-Investment-Gesellschaft mbH(C)551/31/20201/31/202022.81EUR2.66 %2.66 %4.25 %0.65 %4.50 %2.49 %3.66 %19.55 %48.27 %36.11 %63.89 %-10.78 %-8.75 % 2.46 %2.50 %5.00 %0.00 %1EURDeutschland
FalseDZPB II - Stiftungen BLU1138506552A12E8Q1/7/2015Mischfonds Global ausgewogenIPConcept (Luxemburg) S.A.(D)331/31/20201/31/2020629.55EUR0.27 %0.27 %-0.03 %0.10 %4.75 %1.01 %0.13 %2.12 %33.10 %44.44 %55.56 %-3.70 %-2.53 % 1.33 %2.50 %5.00 % 60,000EURDeutschland
FalseFSI Accuminvest - Absolute Return Mandat VVDE000A1XDZS1A1XDZS1/2/2015Mischfonds Global flexibelSociete Generale Securities Services GmbH(E)191/31/20201/31/20203.22EUR-2.58 %-2.58 %-2.50 %-1.42 %2.37 %0.93 %-0.60 %-2.30 %59.35 %52.78 %47.22 %-7.33 %-7.22 % 4.65 %2.85 %5.00 %0.00 %1EURDeutschland
FalseFSI Solid Invest - Aktien Mandat VVDE000A1XDZT9A1XDZT1/2/2015Aktien WeltSociete Generale Securities Services GmbH(E)221/31/20201/31/20208.96EUR-2.55 %-2.55 %-1.33 %0.76 %7.48 %4.91 %3.79 %21.59 %610.89 %41.67 %58.33 %-9.61 %-10.89 % 3.16 %1.25 %5.00 %0.00 %0EURDeutschland
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