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Symbol
NameÄnderung% SchwankungPreis (Intraday)Durchschnitt – 50 Tage200-Tage-Durchschnitt3-Monats-RenditeYTD-Rendite52-Wochen-Bereich
0P0001CPE9.F
Algebris UCITS Funds plc - Algebris Financial Credit Fund XXLD EUR Inc+5,98+7,11%84,0696,3195,16-3,90%-3,95%
0P00012JNT.F
Algebris UCITS Funds plc - Algebris Financial Credit Fund I EUR Inc+6,52+7,11%91,66105,01103,74-3,91%-3,95%
0P0001JT7V.F
Algebris UCITS Funds plc - Algebris Financial Credit Fund C EUR Acc+6,39+7,11%89,87102,9899,85-4,02%-4,06%
0P00012JNV.F
Algebris UCITS Funds plc - Algebris Financial Credit Fund M EUR Acc+12,10+7,11%170,20194,83188,34-3,78%-3,84%
0P000102IH.F
Algebris UCITS Funds plc - Algebris Financial Credit Fund R EUR Acc+9,47+7,11%133,24152,71148,16-4,07%-4,10%
0P0000X62V.F
Algebris UCITS Funds plc - Algebris Financial Credit Fund I EUR Acc+11,03+7,11%155,19177,73172,07-3,90%-3,95%
0P00017Z3E.F
Algebris UCITS Funds plc - Algebris Financial Credit Fund Z EUR Acc+8,13+7,11%114,40131,06126,99-3,97%-4,01%
0P000102IG.F
Algebris UCITS Funds plc - Algebris Financial Credit Fund Rd EUR Inc+5,71+7,11%80,3592,1191,18-4,06%-4,11%
0P00017Z3U.F
Algebris UCITS Funds plc - Algebris Financial Credit Fund ZD EUR Inc+5,28+7,11%74,3085,1484,19-3,96%-4,01%
0P0001J6SF.F
Algebris UCITS Funds plc - Algebris Financial Credit Fund CD EUR Inc+5,68+7,11%79,9391,6290,68-4,02%-4,06%
0P00017Z4Y.F
Algebris UCITS Funds plc - Algebris Financial Credit Fund W EUR Acc+8,17+7,10%115,00131,84128,03-4,14%-4,17%
0P00017Z50.F
Algebris UCITS Funds plc - Algebris Financial Credit Fund WD EUR Inc+5,79+7,10%81,5993,5692,71-4,14%-4,17%
0P0001N9M2.BE
Algebris UCITS Funds plc - Algebris Financial Credit Fund R AUD Acc+5,68+7,04%80,7192,3689,23-3,77%-3,86%
0P0001LT7V.BE
Algebris UCITS Funds plc - Algebris Financial Credit Fund WD AUD Inc+5,26+7,03%74,7785,6184,36-3,84%-3,92%
0P0001LHCH.BE
Algebris UCITS Funds plc - Algebris Financial Credit Fund I AUD Acc+5,95+7,03%84,5896,7193,24-3,60%-3,70%
0P0001N9M4.BE
Algebris UCITS Funds plc - Algebris Financial Credit Fund RD AUD Hedged Inc+5,23+7,03%74,4185,1783,95-3,77%-3,86%
0P00000WIO.F
Cap Off+80,44+3,03%2.658,513.033,943.049,244,33%7,91%
0P0000U79C.F
Caixabank Bolsa Gestión España Premium FI+0,31+2,88%10,7411,1610,158,56%9,18%
0P0000U79B.F
Caixabank Bolsa Gestión España Plus FI+0,29+2,88%10,2310,629,678,47%9,10%
0P00000P6Y.F
Caixabank Bolsa Gestión España Estándar FI+1,18+2,88%41,0742,7038,958,29%8,93%
0P00001EDW.F
Naranja Eurostoxx 50 PP+0,47+2,85%16,6117,2715,458,55%10,89%
0P00005ZXU.F
Amundi Resa Actions France NC+6,71+2,76%242,69251,51228,719,28%8,31%
0P0000JQMK.F
Liberté Stan62+105,58+2,67%3.948,204.058,334.078,624,57%6,59%
0P0001ODCD.F
Fineco S&P 500 Index FAM Fund Class A EUR Accumulation+2,35+2,61%90,0493,2394,952,98%2,73%
0P0001GY53.F
S&P 500 Index FAM Fund Class I EUR Accumulation+3,93+2,61%150,71156,05158,952,98%2,74%
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