Fonds-Suche

Suchen

149 Fonds Ergebnisse

Name WKN KVG F-Fex
Rating
Morningstar
Rating
FNG
Siegel
1J Perf.
%
5J Perf.
%
10J Perf.
%
Volumen
in Mio.
BL-Equities Asia B USD Acc Fonds A1XBEX BLI - Banque de Investments D 13,69 7,38 36,42 160,52
BL-Equities Asia BC EUR Acc Fonds A1XBEY BLI - Banque de Investments D 5,91 7,81 32,94 160,52
BL-Equities Asia BCM EUR Acc Fonds A2ARA3 BLI - Banque de Investments 1,75 3,81 - 160,52
BL-Equities Asia BI USD Acc Fonds A1XBE2 BLI - Banque de Investments D 7,88 8,90 19,13 160,52
BL-Equities Asia BM USD Acc Fonds A2ARA2 BLI - Banque de Investments 14,16 9,53 - 160,52
BL-Equities Dividend A EUR Inc Fonds A0MWCV BLI - Banque de Investments C -5,87 22,49 68,27 699,64
BL-Equities Dividend AI EUR Inc Fonds A1CVAU BLI - Banque de Investments C -5,23 26,80 80,02 699,64
BL-Equities Dividend AM EUR Inc Fonds A2ARA4 BLI - Banque de Investments C -5,50 24,73 - 699,64
BL-Equities Dividend AR EUR Inc Fonds A1CVAS BLI - Banque de Investments -6,11 21,02 64,00 699,64
BL-Equities Dividend B EUR Acc Fonds A0MWCW BLI - Banque de Investments C -5,88 22,44 68,21 699,64
BL-Equities Dividend B USD Hedged Acc Fonds A1JUGG BLI - Banque de Investments D -4,31 31,84 96,02 699,64
BL-Equities Dividend B CHF Hedged Acc Fonds A1421H BLI - Banque de Investments -8,08 13,39 - 699,64
BL-Equities Dividend BI EUR Acc Fonds A0X9BN BLI - Banque de Investments C -5,23 26,80 80,03 699,64
BL-Equities Dividend BI USD Hedged Acc Fonds A14P22 BLI - Banque de Investments D 3,70 46,65 99,51 699,64
BL-Equities Dividend BM EUR Acc Fonds A2ARA5 BLI - Banque de Investments -5,50 24,85 - 699,64
BL-Equities Dividend BM USD Hedged Acc Fonds A2ARA7 BLI - Banque de Investments -3,93 34,52 - 699,64
BL-Equities Dividend BR EUR Acc Fonds A1CVAT BLI - Banque de Investments -6,07 21,06 64,92 699,64
BL-Equities Emerging Markets A Fonds A2QM4U BLI - Banque de Investments - - - 40,0
BL-Equities Emerging Markets AM Fonds A2QM4Y BLI - Banque de Investments 12,01 - - 40,0
BL-Equities Emerging Markets B Fonds A2QM4V BLI - Banque de Investments 11,56 - - 40,0