1933 |
AXA WRLD FD-FRAM/CHF
|
-0,15 % |
1934 |
US Total Yield Sustainable (USD) (EUR hedged) P-dist
|
-0,22 % |
1935 |
Natural Resources EUR
|
-0,68 % |
1936 |
DNB Fund SICAV - Technology I A
|
-0,55 % |
1937 |
World Healthscience Fund D2
|
-0,48 % |
1938 |
SCHRODER ISF-AS.DIV/SH EUR
|
-0,51 % |
1939 |
MIV Global Medtech Fund P3
|
-0,48 % |
1940 |
Luxembourg Placement Fund FCP - Solitaer II B
|
+0,14 % |
1941 |
Janus Henderson Pan European Fund A2 EUR
|
-0,71 % |
1942 |
Praemienstrategie P
|
-0,08 % |
1943 |
MEDICAL BioHealth S
|
-1,02 % |
1944 |
Invesco Japanese Equity Advantage Fund A
|
+0,64 % |
1945 |
Contrarian Value Euroland C
|
-0,85 % |
1946 |
Vontobel Fund SICAV - US Equity B
|
-1,49 % |
1947 |
Invesco Gold & Special Minerals Fund A accumulation - USD
|
-2,90 % |
1948 |
Allianz Advanced Fixed Income Global Aggregate W (H-EUR)
|
-0,17 % |
1949 |
Invesco Global Consumer Trends Fund A EUR H
|
-0,46 % |
1950 |
Allianz Euro High Yield Bond A (EUR) Distribution
|
+0,03 % |
1951 |
SQUAD FCP - SQUAD VALUE A
|
-0,33 % |
1952 |
Energy Transition Priv
|
+1,79 % |
1953 |
BlackRock Global Funds SICAV - US Growth Fund A2
|
-2,00 % |
1954 |
Factor MSCI EMU Low Volatility UCITS ETF – Anteilsklasse (EUR) A-dis -
|
-0,05 % |
1955 |
US Basic Value Fund A4
|
-1,08 % |
1956 |
Multi Opportunities FCP
|
-0,35 % |
1957 |
Xtrackers II Germany Government Bond UCITS ETF
|
+0,15 % |
1958 |
Lyxor Euro Government Bond 25+Y (DR) UCITS ETF
|
+0,31 % |
1959 |
Invesco Sustainable Multi-Sector Credit Fund C USD H
|
+0,05 % |
1960 |
Global Income Conservative Fund Ad EUR
|
-0,08 % |
1961 |
Fidelity Funds SICAV - World Fund A-ACC-USD
|
-0,22 % |
1962 |
FIDELITY FDS-GLOBAL/SH EUR
|
-0,35 % |
1963 |
C&P Funds Classix
|
+0,06 % |
1964 |
BL-Equities Japan BI
|
-0,72 % |
1965 |
Asia ex Japan Equity Smaller Companies ID
|
-1,32 % |
1966 |
Lyxor EuroMTS HstRtd MacroWtd GovBd1-3Y (DR) UCITSETF
|
-0,01 % |
1967 |
Generali Komfort FCP - Strategie 30 D
|
-0,10 % |
1968 |
DWS Invest Euro-Gov Bonds LD
|
-0,05 % |
1969 |
DJE FCP - Asia I EUR
|
-0,85 % |
1970 |
TEMPLETON GLOBAL/SH USD
|
-0,57 % |
1971 |
Ossiam Shiller Barclays Cape Europe Sector Value TR Anteilsklasse 1C (EUR) UCITS ETF
|
-0,61 % |
1972 |
Lingohr Global Equity EUR I
|
-1,37 % |
1973 |
SEB Nordic Small Cap Fund C (EUR)
|
-0,67 % |
1974 |
Kapitalaufbau Total Return A
|
-0,51 % |