Neue Ratings im Quartal

Suchbegriff:
TrancheISINScope PeergroupRatingErstes RatingAuM (Mio.)Dokumente
FalseCarmignac Portfolio Unconstrained Credit W EUR CLU1623763148A2DSRX7/31/2017Renten Global Corp. Inv. GradeCarmignac Gestion Luxembourg SAA827/31/20197/31/2019222.89EUR20.94 %0.43 %4.99 %15.90 %19.97 %  26.47 %       0.81 %0.60 %0.00 %0.00 %2,000,000EURDeutschland
FalsePrivatFonds: NachhaltigLU1900195949A2N73W1/2/2019Mischfonds Global flexibelUnion Investment Luxembourg SAA787/31/20197/31/2019361.90EUR -0.06 %3.44 %3.84 %   6.31 %       2.00 %1.20 %0.00 % 10,000EURDeutschland
FalseETFS GBP Daily Hedged All CommoditiesJE00B6S1W779A1N98E2/29/2012CommoditiesETFS Management Company (Jersey) Limited(E)58/31/20198/31/20190.36EUR-1.42 %-1.41 %-3.17 %-10.71 %-9.63 %-5.74 %-12.96 % 511.47 %55.56 %44.44 %-13.46 %-10.88 %  0.49 %0.00 %0.00 % GBPDeutschland
FalseLyxorCommThReuters/CoreCommCRBExEnergyTRUCITSETFALU1829218582 2/22/2019CommoditiesLyxor International Asset Management SAS(C)518/31/20198/31/201982.87EUR-2.31 %-3.05 %-3.66 %-3.58 %-1.48 %-4.45 %-3.31 %-5.26 %49.55 %55.56 %44.44 %-13.78 %-13.80 % 0.35 %0.35 %5.00 %  EURDeutschland
FalsePrivatFonds: FlexibelDE000A0Q2H14A0Q2H17/1/2010Absolute Return Multi Strategy Moderate RiskUnion Investment Privatfonds GmbH(D)318/31/20198/31/2019176.80EUR1.96 %-0.54 %0.68 %-0.98 %-0.33 %-1.55 %-0.93 %3.82 %33.22 %50.00 %50.00 %-3.63 %-3.07 % 1.59 %1.20 %0.00 % 10,000EURDeutschland
FalseAviva Investors Multi-Strategy Target Rtn A EURLU1074209328A119CE7/1/2014Absolute Return Multi Strategy Low RiskAviva Investors(D)327/31/20197/31/20191,876.77EUR6.98 %1.50 %2.64 %3.51 %0.37 %-1.14 %0.12 %1.82 %35.38 %58.33 %41.67 %-6.95 %-5.44 % 1.60 %1.50 %5.00 %0.00 %2,000EURDeutschland
FalseGavekal Global Asset Allocation UCITS A USDIE00BN7Q3801A12C8R8/29/2014Aktien WeltGaveKal Fund Management (Ireland) Limited(D)298/31/20198/31/20196.61EUR-1.56 %-0.91 %-0.84 %-1.73 %-2.02 %-1.07 %1.96 %10.19 %46.61 %50.00 %50.00 %-5.61 %-6.66 % 1.11 %1.00 %2.00 %0.00 %100,000USDDeutschland
FalseBarclays Roll Yield Commodities GI USDIE00B53GZC61 5/22/2014CommoditiesFundRock Management Company SA(C)578/31/20198/31/20190.50EUR3.58 %-4.12 %-2.18 %-4.26 %-5.69 %-0.80 %-5.34 %-24.72 %510.65 %41.67 %58.33 %-14.46 %-13.85 % 0.26 % 5.00 %0.00 %1USDDeutschland
FalseFranklin European Growth A (acc) EURLU012261284860274412/29/2000Aktien EuropaFranklin Templeton International Services S.a r.l.(E)137/31/20197/31/2019246.02EUR2.87 %-4.58 %-2.97 %-7.59 %-12.39 %-0.73 %-0.40 %43.60 %512.30 %50.00 %50.00 %-13.83 %-14.83 % 1.83 %1.00 %5.75 % 4,528EURDeutschland
FalseLyxor Comm ThReuters/CoreComm CRB TR UCITS ETF AcLU1829218749 2/22/2019CommoditiesLyxor International Asset Management SAS(D)408/31/20198/31/2019527.82EUR5.33 %-3.41 %-1.32 %-2.80 %-5.12 %-0.63 %-6.72 %-3.87 %510.94 %44.44 %55.56 %-16.03 %-14.53 % 0.35 %0.35 %5.00 %  EURDeutschland
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