Drei Kräfte kommen zusammen
Warum dies die wichtigste Kupfer-Story des Jahres 2024 sein könnte
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#Rank Wert Perf.
2983 STOXX Europe 600 Industry Consumer Discretionary 30-15 Index (Price Return) -1,13 %
2984 STOXX Emerging Europe Small Cap Index (Price Return) +0,20 %
2985 STOXX Developed World Consumer Discretionary Index (Price Return) -1,04 %
2986 STOXX Chile Index (Net Return) +0,97 %
2987 STOXX Australia Mid Cap Index (Gross Return) +0,27 %
2988 STOXX Australia Index (Price Return) +0,74 %
2989 STOXX Asia AC Index (Price Return) +1,04 %
2990 STOXX Asia AC ex China Small Cap Index (Price Return) +1,29 %
2991 SPI Level 2 Indexoducer and manufacturer goods CHF Index (Price Return) -0,68 %
2992 SBI ESG AAA-BBB 10+ Index (Price Return) +0,09 %
2993 iSTOXX Single Stock on Sanofi Index (Gross Return) -3,27 %
2994 iSTOXX Single Stock on Poste Italiane Index (Gross Return) +0,87 %
2995 iSTOXX Single Stock on Intesa Sanpaolo Index (Gross Return) -0,13 %
2996 iSTOXX Single Stock on Ferrari Index (Gross Return) -1,82 %
2997 iSTOXX L&G UK Quality Index (Gross Return) +0,67 %
2998 iSTOXX L&G North America Quality Index (Price Return) -0,22 %
2999 iSTOXX L&G Japan Momentum Index (Gross Return) -0,41 %
3000 iSTOXX L&G Emerging Markets Value Index (Price Return) -0,86 %
3001 iSTOXX L&G Emerging Markets Quality Index (Net Return) -0,66 %
3002 iSTOXX L&G Dev World MV Index (Price Return) -0,60 %
3003 iSTOXX JPM US GR Dec 2.48 Gross Return USD Index +0,29 %
3004 iSTOXX JPM US GR De 1.68 Gross Return USD Index +0,29 %
3005 iSTOXX Inverse Leveraged -1X AIR Index (Net Total Return) +0,66 %
3006 iSTOXX Europe 600 Oil & Gas Futures Leverage Long 7X Index (Excess Return) +6,82 %
3007 iSTOXX Europe 600 Energy NR Decrement 4% Index (Net Total Return) +1,04 %
3008 iSTOXX ENI IM GR De 0.76 Gross Return EUR Index +0,62 %
3009 iSTOXX DPW GY GR Dec 0.85 Gross Return EUR Index +0,52 %
3010 iSTOXX APG Developed Real Estate Index (Gross Return) +0,20 %
3011 Indxx Global Future Economy Metals TR Index (Total Return) +0,34 %
3012 IndexSBI ESG Domestic AAA-BBB 1-10 Index (Total Return) -0,01 %
3013 IndexSBI ESG Domestic AAA-A Yield Index -1,35 %
3014 IndexSBI ESG Corporate Index (Total Return) -0,01 %
3015 Hyposwiss USD Bonds 2030 Index -0,07 %
3016 Global Flexible Bond Index +0,08 %
3017 Gepolis Quant Low Vol Index +0,45 %
3018 First Solutions CED Dynamic Allocation Index +1,06 %
3019 DAX 10% Capped Index (Price Return) -0,18 %
3020 Colombo Wealth - Global Equity Funds Leader Index (Net Total Return) -0,03 %
3021 CAMcap High Yield Bonds Index +0,04 %
3022 Average Rate Avalanche Index (USD) (Price Return) +1,17 %
3023 8X Short Index linked to SMI (Swiss Market Index) V3 (Price Return) +8,65 %
3024 8X Short Index linked to Orange S.A. (Price Return) +0,09 %

Angaben zur durchschnittlichen Performance, können zeitverzögerte Notierungen enthalten.