Neue Ratings im Quartal

Suchbegriff:
TrancheISINScope PeergroupRatingErstes RatingAuM (Mio.)Dokumente
FalseAachen-Invest Select 1LU0327866777A0M2UL12/3/2007Mischfonds Global flexibelDeka Vermögensmanagement GmbH(B)655/31/20205/31/2020  -2.52 %3.78 %14.44 %-2.52 %3.36 %3.36 %2.73 % 512.24 %44.44 %55.56 %-11.26 %-14.81 % 1.35 %1.20 %5.00 %0.00 %1EURDeutschland
FalseAllianz Advanced Fixed Income Euro A-EURLU0706717351A1JPF55/12/2015Renten EUROAllianz Global Investors GmbH(C)455/31/20205/31/20202,567.21EUR-0.49 %0.89 %2.37 %-0.49 %-0.36 %0.93 %1.18 %1.71 %32.70 %41.67 %58.33 %-3.80 %-3.51 % 0.69 %0.65 %3.00 %0.00 %1EURDeutschland
FalseAllianz Euro Oblig Court Terme ISR I C/D EURFR0010914572 7/8/2010Renten EURO kurzAllianz Global Investors GmbH(C)496/30/20206/30/20201,818.58EUR-0.37 %0.25 %0.99 %-0.37 %-0.51 %-0.35 %-0.15 %4.76 %20.88 %63.89 %36.11 %-1.43 %-1.35 % 0.20 %0.40 %0.00 %0.00 %160,000EURDeutschland
FalseAllianz Global Dividend A-EURLU1202788789A14P5M5/18/2015Aktien Welt DividendeAllianz Global Investors GmbH(D)255/31/20206/30/20200.92EUR-11.54 %1.68 %11.95 %-11.54 %-1.53 %1.44 %0.68 %-0.22 %515.27 %33.33 %66.67 %-15.60 %-21.84 % 1.81 %1.80 %5.00 %0.00 %1EURDeutschland
FalseAmpega GenderPlus Aktienfonds P (t)DE000A12BRD6A12BRD4/22/2015Aktien DeutschlandAmpega Investment GmbH(B)634/30/20204/30/202057.42EUR-9.33 %1.21 %20.06 %-9.33 %-0.36 %1.55 %2.86 %5.78 %619.30 %41.67 %58.33 %-18.41 %-24.68 % 1.14 %1.00 %4.00 %0.00 %500EURDeutschland
FalseAmundi Bond Strategy Global High Yield AAT00008091082575706/1/1999Renten Global Corp. High YieldBawag PSK Invest(E)204/30/20204/30/202051.72EUR-7.99 %0.83 %8.45 %-7.99 %-4.77 %-0.62 %0.61 %198.93 %410.86 %41.67 %58.33 %-14.28 %-16.36 % 2.36 %1.50 %3.50 %0.00 %1EURDeutschland
FalseArabesque SICAV Sustainable Global Equity EURLU2017342317A2PMLN10/1/2019Aktien Nachhaltigkeit/Ethik WeltIPConcept (Luxemburg) S.A.B774/30/20206/30/20204.40EUR-3.73 %0.06 %14.01 %-3.73 %   -0.77 %       0.99 %0.72 %0.00 %0.00 %50,000EURDeutschland
FalseBarings Developed and Em Mkts HY Bd A EUR IncIE00048518089335867/19/1993Renten Global Corp. High YieldBaring International Fund Managers (Ireland) Ltd(D)384/30/20204/30/2020356.86EUR-7.09 %2.44 %10.17 %-7.09 %-2.32 %1.62 %2.11 % 512.06 %41.67 %58.33 %-15.53 %-17.44 % 1.45 %1.00 %5.00 %0.00 %3,500EURDeutschland
FalseBethmann Stiftungsfonds PDE000DWS08Y8DWS08Y11/1/2011Mischfonds Global konservativUniversal-Investment-Gesellschaft mbH(B)714/30/20204/30/2020617.09EUR-0.78 %1.14 %6.03 %-0.78 %1.52 %2.04 %1.77 %34.43 %35.23 %44.44 %55.56 %-6.50 %-7.21 % 0.83 %0.80 %0.00 %0.00 %1EURDeutschland
FalseBNY Mellon Global High Yield Bond GBP IncGB00096330735909199/12/2000Renten Global Corp. High YieldBNY Mellon Fund Managers Limited(E)164/30/20205/31/2020137.68EUR-8.90 %0.16 %6.17 %-8.90 %-1.49 %0.64 %-1.54 % 510.78 %44.44 %55.56 %-9.97 %-15.32 % 1.16 %1.00 %0.00 %0.00 %1,000GBPDeutschland
seek-warrow-warrow-eseek-eElemente 1 - 10 von 287
Daten zum 6/30/2020 für Fondsuniversum Deutschland
Verfügbare Dokumente
Keine Daten stehen zur Verfügung.