Neue Ratings im Quartal

Suchbegriff:
TrancheISINScope PeergroupRatingErstes RatingAuM (Mio.)Dokumente
FalseChinaAMC China Growth A Acc USDLU0573366928 4/1/2011Aktien ChinaFundRock Management Company SA(D)356/30/20206/30/20204.93EUR10.45 %2.41 %0.09 %10.45 %17.26 %3.77 %1.03 % 47.62 %41.67 %58.33 %-7.81 %-6.85 % 2.47 %2.00 %5.00 %0.00 %50,000USDDeutschland
FalseC-QUADRAT CAPITOL 1 Serie MAT0000859301A0BLMM11/2/1987Renten EUROLLB Invest KAG(D)316/30/20206/30/20202.96EUR-0.33 %0.24 %0.09 %-0.33 %-1.00 %-0.51 %-0.21 % 21.16 %55.56 %44.44 %-1.31 %-1.42 % 0.60 %0.35 %2.50 %0.00 %1EURDeutschland
FalseC-QUADRAT Europe ESG Serie M AAT00009182975415912/5/1993Aktien Europa ex UKLLB Invest KAG(B)646/30/20206/30/20207.02EUR-6.03 %1.54 %12.94 %-6.03 %4.66 %1.03 %3.68 % 616.90 %41.67 %58.33 %-15.19 %-19.49 % 1.95 %1.60 %4.50 %0.00 %1EURDeutschland
FalseDeka-BasisAnlage ausgewogenDE000DK2CFR7DK2CFR4/27/2012Mischfonds Global ausgewogenDeka Vermögensmanagement GmbHA796/30/20206/30/20202,864.40EUR 0.46 %             1.15 %0.75 %4.00 %0.00 %25EURDeutschland
FalseDeka-BasisAnlage dynamischDE000A2DJVV1A2DJVV1/2/2019Mischfonds Global flexibelDeka Vermögensmanagement GmbHA796/30/20206/30/202053.41EUR 0.89 %             1.40 %1.00 %4.00 % 25EURDeutschland
FalseDeka-BasisAnlage konservativDE000DK2CFP1DK2CFP4/27/2012Mischfonds Global konservativDeka Vermögensmanagement GmbHA806/30/20206/30/2020825.03EUR 0.56 %             0.85 %0.50 %2.00 %0.00 %25EURDeutschland
FalseDeka-BasisAnlage moderatDE000DK2CFQ9DK2CFQ4/27/2012Mischfonds Global konservativDeka Vermögensmanagement GmbHA806/30/20206/30/20202,166.24EUR 0.67 %             0.98 %0.60 %3.00 %0.00 %25EURDeutschland
FalseDigital Funds Stars Europe C EURLU0090784017A0M00E11/13/1998Aktien EuropaJ Chahine Capital SA(A)816/30/20206/30/2020434.76EUR-4.74 %3.09 %20.51 %-4.74 %3.73 %3.63 %6.02 % 617.48 %36.11 %63.89 %-21.43 %-22.80 % 1.66 %1.50 %5.00 %0.00 %1EURDeutschland
FalseEurizon Fund - Bond EUR Medium Term LTE RLU001201794298787411/3/1992Renten EURO mittelEurizon Capital SA(D)276/30/20206/30/20201,076.40EUR0.19 %0.47 %0.74 %0.19 %0.09 %0.18 %0.20 % 21.74 %47.22 %52.78 %-2.18 %-1.74 % 0.55 %0.35 %2.00 %0.00 %500EURDeutschland
FalseEurizon Fund - Bond USD LTE RLU009097856998921710/26/1998Renten USDEurizon Capital SA(D)336/30/20206/30/20201,357.91EUR8.61 %-0.90 %-2.22 %8.61 %11.67 %5.43 %3.02 % 47.63 %38.89 %61.11 %-6.89 %-7.87 % 0.60 %0.40 %2.00 %0.00 %500EURDeutschland
seek-warrow-warrow-eseek-eElemente 11 - 20 von 287
Daten zum 6/30/2020 für Fondsuniversum Deutschland
Verfügbare Dokumente
Keine Daten stehen zur Verfügung.