Fonds-Suche

Suchen

1.150 Fonds Ergebnisse

Name WKN KVG F-Fex
Rating
Morningstar
Rating
FNG
Siegel
1J Perf.
%
5J Perf.
%
10J Perf.
%
Volumen
in Mio.
U Asset Allocation - Balanced GBP MD GBP Distribution Fonds A3DLP2 UBP Asset Management 14,07 - - 20,99
U Asset Allocation - Calm Sea USD AC USD Accumulated Fonds A3C23X UBP Asset Management 10,92 - - 25,75
U Asset Allocation - Calm Sea EUR AC Acc Fonds A3DLNY UBP Asset Management 6,36 - - 148,63
U Asset Allocation - Calm Sea USD AD USD Income Fonds A3DLNX UBP Asset Management 8,62 - - 25,37
U Asset Allocation - Calm Sea USD MC USD Accumulated Fonds A3C23Y UBP Asset Management 12,03 - - 25,75
U Asset Allocation - Calm Sea EUR MC Acc Fonds A3C23B UBP Asset Management 7,44 - - 148,63
U Asset Allocation - Calm Sea EUR MD Inc Fonds A3CT7U UBP Asset Management 7,37 - - 148,63
U Asset Allocation - Conservative USD AC USD Fonds A3C23E UBP Asset Management 4,62 - - 53,7
U Asset Allocation - Conservative EUR AC EUR Fonds A3C23V UBP Asset Management 2,38 - - 24,82
U Asset Allocation - Conservative USD AD USD Fonds UBP Asset Management 4,42 - - 53,7
U Asset Allocation - Conservative GBP Acc Fonds A1WY4R UBP Asset Management 4,74 -0,31 6,89 7,57
U Asset Allocation - Conservative USD MC Acc Fonds A1WY4P UBP Asset Management 4,98 6,62 16,59 53,7
U Asset Allocation - Conservative EUR MC Acc Fonds A1WY4S UBP Asset Management 2,76 -3,74 -3,76 24,82
U Asset Allocation - Conservative GBP MD Inc Fonds A3E4UL UBP Asset Management 4,74 - - 7,57
U Asset Allocation - Conservative EUR MD Inc Fonds A408VJ UBP Asset Management 2,75 - - 24,82
U Asset Allocation - Dynamic CHF AC CHF Fonds A2QQ67 UBP Asset Management 5,61 - - 10,18
U Asset Allocation - Dynamic GBP AC GBP Fonds A3C230 UBP Asset Management 14,48 - - 10,73
U Asset Allocation - Dynamic Asian Biased USD AC USD Acc Fonds UBP Asset Management 13,06 - - 2,76
U Asset Allocation - Dynamic CHF MC Acc Fonds A1WY48 UBP Asset Management 6,21 5,87 22,85 10,18
U Asset Allocation - Dynamic GBP MC GBP Fonds A2P25B UBP Asset Management 15,20 26,61 - 10,73