#Rank Wert Perf.
1849 GANADOR FCP - Ataraxia -1,10 %
1850 Emerging Markets A +0,17 %
1851 US Technology Fund Ca USD -1,68 %
1852 Perpetuum Vita Basis FCP R +0,23 %
1853 Global Convertibles Fund (EUR) Ad USD -1,02 %
1854 INVESCO FUNDS-INV/SH USD -1,38 %
1855 Amundi MSCI Em Asia Capitalisation -0,13 %
1856 IP Fonds FCP - IP Bond-Select P -0,05 %
1857 Favorit-Invest FCP - offensiv -0,85 %
1858 AMUNDI GOVT BOND LOWEST RATED EUROMTS INVESTMENT GRADE UCITS ETF - EUR (C) +0,12 %
1859 Allianz Cyber Security A (EUR) Distribution -0,99 %
1860 Migros Bank (Lux) Fonds SICAV - 30 B +0,24 %
1861 Allianz China Equity A (USD) Distribution -0,56 %
1862 Value Opportunity Fund FCP P +0,16 %
1863 E&G Vermoegensstrategie FCP - Anleihen B -0,02 %
1864 DNCA INVEST SICAV - Eurose A/A (EUR) -0,05 %
1865 S.E.A. Asian High Yield Bond Fund B -11,86 %
1866 Euro Corporate Bond Fund A2 EUR +0,06 %
1867 BNP Paribas Flexi I SICAV - US Mortgage Cl HEU +0,09 %
1868 Fortezza Finanz FCP - Aktienwerk I -0,26 %
1869 FIDELITY/SH EUR -0,04 %
1870 Xtrackers Harvest MSCI China Tech 100 UCITS ETF 1C -1,67 %
1871 Templeton BRIC -0,19 %
1872 Tech Opportunity (USD) (EUR hedged) P-acc -2,63 %
1873 Migros Bank (Lux) Fonds SICAV - 40 (EUR) A +0,64 %
1874 Global Sustainable Growth C +0,06 %
1875 DWS Invest ESG Global Emerging Markets Equities FC -0,15 %
1876 Pictet SICAV - Pictet-Robotics P USD -2,25 %
1877 Long Term Investment Fund (SIA) SICAV - Classic C EUR -0,14 %
1878 International Asset Management Fund FCP - Aktien AKTIV ±0,00 %
1879 Mid Caps Europe Sustainable (EUR) P-acc -0,58 %
1880 Invesco Sustainable Multi-Sector Credit Fund A QD +0,04 %
1881 Goldman Sachs Alternative Beta P Cap -0,10 %
1882 Franklin Global Growth Fund A (acc) USD -1,86 %
1883 Asia Opportunity Fund AH EUR -0,47 %
1884 Franklin Natural Resources Fund A (acc) EUR +0,37 %
1885 FIDELITY FDS-SUS/SH JPY -0,54 %
1886 BGF Reserve A2 USD -0,08 %
1887 Pictet SICAV - Pictet-Biotech P EUR -5,83 %
1888 Nielsen FCP - Global Value A -0,02 %
1889 Assenagon Credit SubDebt and CoCo I -0,02 %
1890 SEB Nordic Fund -1,09 %

Angaben zur durchschnittlichen Performance, können zeitverzögerte Notierungen enthalten.