| |
Fondsname
|
Fondstyp
|
ISIN
|
1 Jahr
|
3 Jahre
|
5 Jahre
|
| 1151. | Raiffeisen-Europa-HighYield (VT) Stückorder | Rentenfonds | AT0000765599 | 22.13 % | 17.93 % | 26.88 % |
| 1152. | CS BF (Lux) TOPS (Sfr) B | Rentenfonds | LU0155952053 | 24.34 % | 33.76 % | 26.86 % |
| 1153. | CS BF (Lux) TOPS (Sfr) A | Rentenfonds | LU0155951675 | 24.33 % | 33.76 % | 26.85 % |
| 1154. | W&W Euro Corporate Bond Fund B | Rentenfonds | IE00B00GCX42 | 9.26 % | 26.66 % | 26.77 % |
| 1155. | SISF Emerging Europe A thesaurierend | Aktienfonds | LU0106817157 | 34.35 % | -16.41 % | 26.77 % |
| 1156. | Schroder Gl. Corp. Bd. acc. C | Rentenfonds | LU0106258741 | 25.60 % | 34.28 % | 26.76 % |
| 1157. | LAM Euro Renten UI | Rentenfonds | DE0002605078 | 7.15 % | 30.15 % | 26.75 % |
| 1158. | Goldman Sachs US Mortgage Backed Securities Portfolio | Rentenfonds | LU0154844384 | 22.01 % | 32.27 % | 26.74 % |
| 1159. | UBAM-Global Bond (CHF) A thes. | Rentenfonds | LU0068133486 | 21.79 % | 39.07 % | 26.73 % |
| 1160. | Templeton Glo Income A Qdis $ | Mischfonds | LU0211326839 | 20.01 % | 6.31 % | 26.73 % |
| 1161. | LGT Bond Fund (USD) B | Rentenfonds | LI0015327872 | 23.80 % | 35.80 % | 26.72 % |
| 1162. | Templeton Global Income Fund Class A (acc) EUR | Mischfonds | LU0211332563 | 19.91 % | 6.29 % | 26.71 % |
| 1163. | LGT Strategy 4 Years (CHF) B | Mischfonds | LI0008232204 | 18.62 % | 14.48 % | 26.70 % |
| 1164. | Threadneedle (Lux) Emerging Market Debt AEH | Rentenfonds | LU0198725649 | 15.23 % | 17.19 % | 26.69 % |
| 1165. | UBAM-Global Bond (CHF) A auss. | Rentenfonds | LU0103636758 | 21.77 % | 38.99 % | 26.65 % |
| 1166. | WestLB MellonCo Global Bond C JPY | Rentenfonds | LU0214894684 | 15.52 % | 35.62 % | 26.65 % |
| 1167. | Templeton Glo Income A acc $ | Mischfonds | LU0211326755 | 19.97 % | 6.28 % | 26.65 % |
| 1168. | Invesco Bond Fund C | Rentenfonds | IE0003702200 | 18.37 % | 33.33 % | 26.62 % |
| 1169. | Thames River Global Bond £ D | Rentenfonds | IE0033486881 | 12.06 % | 19.89 % | 26.62 % |
| 1170. | CF Equities HAIG Resources B | Aktienfonds | LU0100181535 | 27.58 % | -13.61 % | 26.59 % |
| 1171. | Schoellerbank USD Renten T | Rentenfonds | AT0000820436 | 30.49 % | 36.12 % | 26.55 % |
| 1172. | Parvest Short Term (CHF) C | Rentenfonds | LU0048188063 | 16.20 % | 30.10 % | 26.54 % |
| 1173. | Parvest Short Term (CHF) D | Rentenfonds | LU0048187339 | 16.20 % | 30.10 % | 26.54 % |
| 1174. | Baring Global Select Fund (USD) | Aktienfonds | IE0030016244 | 13.89 % | -15.56 % | 26.54 % |
| 1175. | Gartmore Pan Europ. Sm Co € A2 | Aktienfonds | LU0210856778 | 17.34 % | -16.74 % | 26.54 % |
| 1176. | RWS-AKTIENFONDS-VERITAS | Aktienfonds | DE0009763300 | 15.86 % | -20.12 % | 26.51 % |
| 1177. | GS Asia Portfolio A | Aktienfonds | LU0122971814 | 28.74 % | -15.38 % | 26.50 % |
| 1178. | Franklin Eur Growth N acc € | Aktienfonds | LU0122612764 | 21.71 % | -5.08 % | 26.47 % |
| 1179. | Baring Global Select Fund (EUR) | Aktienfonds | IE0030016350 | 14.78 % | -15.30 % | 26.47 % |
| 1180. | Deka Inst. Renten Europa | Rentenfonds | DE0007019416 | 8.10 % | 27.16 % | 26.46 % |
| 1181. | grundbesitz global RC | Immobilienfonds | DE0009807057 | 2.22 % | 11.19 % | 26.45 % |
| 1182. | Thames River High Income New $ A | Rentenfonds | IE00B0BYZ839 | 27.18 % | 26.54 % | 26.43 % |
| 1183. | FORTIS Bond World 2001 D | Rentenfonds | LU0172351099 | 10.00 % | 31.09 % | 26.42 % |
| 1184. | Nordea-1 Global Bond Fund BP-SEK | Rentenfonds | LU0173921585 | 18.07 % | 36.21 % | 26.41 % |
| 1185. | GLOBAL INV. DOLLAR Mixed | Mischfonds | LU0146070304 | 22.75 % | 25.00 % | 26.38 % |
| 1186. | Raiffeisen-Global-Rent T | Rentenfonds | AT0000805486 | 15.50 % | 27.70 % | 26.36 % |
| 1187. | MSMM FUNDS Global Strategic Yield Fund A | Rentenfonds | IE0004307710 | 20.16 % | 18.16 % | 26.36 % |
| 1188. | LVM Inter-Renten | Rentenfonds | IE0000663470 | 17.74 % | 34.22 % | 26.30 % |
| 1189. | WestLB Mellon Compass Fund Global High Yield Bond Fd C USD | Rentenfonds | LU0115292673 | 23.18 % | 23.17 % | 26.30 % |
| 1190. | Oppenheim Dynamic Europe Balance | Mischfonds | DE000A0EAWB2 | 2.52 % | 2.23 % | 26.29 % |
| 1191. | RenditePlus-Invest | Rentenfonds | DE0009757955 | 13.03 % | 21.17 % | 26.28 % |
| 1192. | Convertinvest European Conv. u.Bond (T) | Absolute Return Fonds | AT0000674999 | 1.44 % | 7.24 % | 26.28 % |
| 1193. | Morgan Stanley Asian Property Fund (USD) A | Aktienfonds | LU0078112413 | 19.88 % | -16.20 % | 26.28 % |
| 1194. | SGAM Fund BONDS - World A | Rentenfonds | LU0011838421 | 17.64 % | 34.55 % | 26.25 % |
| 1195. | Morgan Stanley Global Bond Fund (USD) A | Rentenfonds | LU0073230426 | 20.46 % | 34.90 % | 26.20 % |
| 1196. | SISF Converging Europe Bond A1 | Rentenfonds | LU0133717412 | 5.60 % | 24.27 % | 26.20 % |
| 1197. | Fidelity Funds - Global Consumer Industries Fund A (EUR) | Aktienfonds | LU0114721508 | 23.08 % | 1.21 % | 26.20 % |
| 1198. | Dexia Bonds World Government Plus N | Rentenfonds | LU0156672908 | 19.28 % | 32.40 % | 26.19 % |
| 1199. | DekaRent-international CF | Rentenfonds | DE0008474560 | 17.47 % | 32.58 % | 26.18 % |
| 1200. | Schoellerbank USD Renten T € | Rentenfonds | AT0000820428 | 31.06 % | 35.72 % | 26.17 % |