Basiswissen Rentenfonds |
Rentenfonds | ||||||||||||||||
FONDSNAME FONDSGESELLSCHAFT ISIN |
RÜCKNAHMEPREIS BZW. NAV(*) |
WERTENTWICKLUNG | AUSGABEAUFSCHLAG | FWW FUNDSTARS® |
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1 JAHR | 3 JAHRE | NORMAL | S BROKER | |||||||||||||
AB ShrtDurBondPort... AllianceBernstein LU0102828612 |
18,67 USD* | +4,30% | +13,39% | 5,00% | 1,93% | |||||||||||
AbsolReturn Bd EUR... LRI Invest S.A. LU0337168347 |
12,00 € | +5,34% | +1,60% | 3,00% | 3,00% | |||||||||||
ACTEMShDuLCa AtEUR... AXA Funds Management LU0800572702 |
97,79 € | +5,02% | -13,43% | 3,00% | 3,00% | |||||||||||
ACTEMShDuLCa FaEUR... AXA Funds Management LU0964941735 |
67,98 € | +5,36% | -12,40% | 2,00% | 2,00% | |||||||||||
AdvFixedIncGbl A-E... AllianzGI GmbH LU1209235446 |
95,76 € | -1,02% | -3,14% | 5,00% | 1,00% | |||||||||||
AdvFixIncShDuEuroR... AllianzGI GmbH LU1069922828 |
89,35 € | +3,58% | -0,80% | 5,00% | 0,50% | |||||||||||
AdvFixIncShDuraA-E... AllianzGI GmbH LU0856992614 |
88,50 € | +3,58% | -0,81% | 5,00% | 1,00% | |||||||||||
AdvFixIncShDuraP-E... AllianzGI GmbH LU1272325553 |
923,63 € | +3,68% | -0,54% | 2,00% | 1,00% | |||||||||||
AGIF AllianzSDGEuC... AllianzGI GmbH LU1518687030 |
93,81 € | +5,83% | -8,49% | 2,00% | 0,00% | |||||||||||
AGIF AllianzSDGEuC... AllianzGI GmbH LU0706716890 |
95,39 € | +5,48% | -9,41% | 3,00% | 3,00% | |||||||||||
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