Fonds-Suche

Suchen

279 Fonds Ergebnisse

Name WKN KVG F-Fex
Rating
Morningstar
Rating
FNG
Siegel
1J Perf.
%
5J Perf.
%
10J Perf.
%
Volumen
in Mio.
Man Funds plc - Man Asia (ex Japan) Equity IXU C GBP Net-Dist A Fonds A417GF Man Asset Management - - - 1525,9
Man Funds plc - Man Asia (ex Japan) Equity IXU USD Fonds A418FU Man Asset Management - - - 1525,9
Man Funds plc - Man Asia (ex Japan) Equity IXU USD Net-Dist A Fonds A417PC Man Asset Management - - - 1525,9
Man Funds plc - Man China Equity I C GBP Fonds A3C9GV Man Asset Management 27,17 - - 5,75
Man Funds plc - Man China Equity I C EUR Fonds A3C9GU Man Asset Management 23,39 - - 5,75
Man Funds plc - Man China Equity I USD Fonds A3C9GY Man Asset Management 30,33 - - 5,75
Man Funds plc - Man China Equity IF C EUR Fonds A3C9GW Man Asset Management 23,98 - - 5,75
Man Funds plc - Man China Equity IF USD Fonds A3C9GX Man Asset Management 30,27 - - 5,75
Man Funds plc - Man Dynamic Income D H EUR Fonds A3DQVC Man Asset Management 8,68 - - 3947,37
Man Funds plc - Man Dynamic Income D H CHF Fonds A40GYS Man Asset Management 6,19 - - 3947,37
Man Funds plc - Man Dynamic Income D H SGD Fonds A3EKG3 Man Asset Management 8,56 - - 3947,37
Man Funds plc - Man Dynamic Income D H SGD Net-Dist MO Fonds A419L3 Man Asset Management - - - 3947,37
Man Funds plc - Man Dynamic Income D USD Fonds A3EKG4 Man Asset Management 10,89 - - 3947,37
Man Funds plc - Man Dynamic Income D USD Net-Dist MO Fonds A3E4NT Man Asset Management 10,89 - - 3947,37
Man Funds plc - Man Dynamic Income DV USD Fonds A3ES5B Man Asset Management 10,86 - - 3947,37
Man Funds plc - Man Dynamic Income DW USD Fonds A3ERH0 Man Asset Management 9,89 - - 3947,37
Man Funds plc - Man Dynamic Income DWU USD Fonds A419NX Man Asset Management - - - 3947,37
Man Funds plc - Man Dynamic Income DY H EUR Fonds A40R7E Man Asset Management - - - 3947,37
Man Funds plc - Man Dynamic Income DYV USD G-Dist Q Fonds Man Asset Management - - - 3947,37
Man Funds plc - Man Dynamic Income DYV H EUR Fonds A41HM9 Man Asset Management - - - 3947,37