| |
Fondsname
|
Fondstyp
|
ISIN
|
1 Jahr
|
3 Jahre
|
5 Jahre
|
| 201. | Global Emerging Markets Fund EUR dis. | Aktienfonds | IE0032605770 | 25.63 % | 3.78 % | 79.48 % |
| 202. | ZZ1 | Rentenfonds | AT0000989090 | 46.06 % | 28.01 % | 79.44 % |
| 203. | DWS Lateinamerika | Aktienfonds | LU0055698269 | 31.41 % | -0.92 % | 79.19 % |
| 204. | HSBC GIF Asia ex Japan Equity Smaller Companies AC | Aktienfonds | LU0164939612 | 51.62 % | 2.33 % | 79.14 % |
| 205. | Pictet - Greater China-P USD | Aktienfonds | LU0168449691 | 26.20 % | -5.60 % | 78.92 % |
| 206. | Baring Emerging Opp. (GBP) | Aktienfonds | IE0032707709 | 27.57 % | 4.12 % | 78.57 % |
| 207. | Global Emerging Markets Fund USD | Aktienfonds | IE0032605994 | 25.03 % | 3.97 % | 78.55 % |
| 208. | Natixis Pacific Rim IC$ | Aktienfonds | LU0103015219 | 26.81 % | 1.05 % | 78.47 % |
| 209. | AMUNDI Thailand-DC | Aktienfonds | LU0169129995 | 77.34 % | 32.27 % | 78.29 % |
| 210. | Türkisfund Equity A | Aktienfonds | LU0085872058 | 37.19 % | 32.33 % | 78.10 % |
| 211. | DWS Türkei | Aktienfonds | LU0209404259 | 41.15 % | 6.00 % | 77.88 % |
| 212. | Templeton Global Total Return Fund A (Mdis) USD | Rentenfonds | LU0170475585 | 34.30 % | 59.95 % | 77.64 % |
| 213. | Templeton Global Total Return Fund A (acc) USD | Rentenfonds | LU0170475312 | 34.29 % | 60.01 % | 77.63 % |
| 214. | Baring Emerging Opportunities Fund (USD) | Aktienfonds | IE0032384004 | 25.86 % | 3.06 % | 77.54 % |
| 215. | Jyske Invest Far Eastern Equities | Aktienfonds | DK0016260946 | 34.10 % | -2.80 % | 77.46 % |
| 216. | Invesco ASEAN Equity Fund A | Aktienfonds | IE0003702317 | 48.54 % | 13.13 % | 77.38 % |
| 217. | KBC Renta TRY-Renta (thes.) | Rentenfonds | LU0218855848 | 23.89 % | 53.63 % | 77.34 % |
| 218. | Baring Emerging Opp. (EUR) | Aktienfonds | IE0032707691 | 26.82 % | 3.29 % | 77.34 % |
| 219. | Vitruvius Emerging Markets $ | Aktienfonds | LU0148751588 | 20.83 % | 2.36 % | 76.72 % |
| 220. | KBC Renta TRY-Renta (auss.) | Rentenfonds | LU0218855418 | 23.84 % | 53.00 % | 76.50 % |
| 221. | DWS Invest BRIC Plus LC | Aktienfonds | LU0210301635 | 30.69 % | -6.73 % | 76.50 % |
| 222. | DWS Invest BRIC Plus LD | Aktienfonds | LU0210302013 | 30.68 % | -6.75 % | 76.44 % |
| 223. | Vontobel Fund - Emerging Markets Equity A-USD | Aktienfonds | LU0040506734 | 45.56 % | 15.76 % | 76.27 % |
| 224. | Vontobel Fund - Emerging Markets Equity B-USD | Aktienfonds | LU0040507039 | 45.56 % | 15.74 % | 76.23 % |
| 225. | First State Global Resources Fund A Acc | Aktienfonds | GB0033737874 | 33.91 % | 5.81 % | 76.15 % |
| 226. | Schroder Emerging Asia acc C | Aktienfonds | LU0181496059 | 29.44 % | 7.98 % | 75.38 % |
| 227. | Skandia Pacific Equity Fund | Aktienfonds | IE0005264431 | 30.42 % | 16.57 % | 75.31 % |
| 228. | Fidelity Funds - Greater China Fund A (USD) | Aktienfonds | LU0048580855 | 29.71 % | 11.04 % | 75.29 % |
| 229. | JF Greater China D acc USD | Aktienfonds | LU0117841949 | 25.47 % | -6.28 % | 75.14 % |
| 230. | JF Singapore D acc USD | Aktienfonds | LU0117843135 | 39.20 % | -9.87 % | 74.84 % |
| 231. | Absolute Asia Pacific Rim Equities C € R | Aktienfonds | LU0147921554 | 26.55 % | -0.31 % | 74.60 % |
| 232. | Robeco Emerging Markets Equities (EUR) D | Aktienfonds | LU0187076913 | 29.38 % | 1.99 % | 74.04 % |
| 233. | Natixis Pacific Rim RC$ | Aktienfonds | LU0103015565 | 26.12 % | -0.49 % | 74.01 % |
| 234. | ISI Far East Equities | Aktienfonds | DK0016259187 | 30.30 % | -12.31 % | 73.61 % |
| 235. | FORTIS L FUND Equity Turkey C | Aktienfonds | LU0212963259 | 41.77 % | -0.30 % | 73.48 % |
| 236. | FORTIS L FUND Equity Turkey D | Aktienfonds | LU0212963689 | 41.70 % | -0.35 % | 73.37 % |
| 237. | Allianz RCM Rohstoffonds A (EUR) | Aktienfonds | DE0008475096 | 22.36 % | -13.94 % | 73.04 % |
| 238. | Callander China Universe C1 $ | Aktienfonds | LU0192479375 | 17.98 % | -22.88 % | 73.02 % |
| 239. | PIA - Latin America Stock (T) | Aktienfonds | AT0000822754 | 34.79 % | -3.25 % | 72.73 % |
| 240. | PIA - Latin America Stock A | Aktienfonds | AT0000947494 | 34.77 % | -3.26 % | 72.73 % |
| 241. | Threadneedle Asia Fund 2 | Aktienfonds | GB0030810799 | 22.86 % | -5.07 % | 72.56 % |
| 242. | iShares STOXX Europe 600 Chemicals (DE) | Aktienfonds | DE0006344732 | 22.31 % | 0.18 % | 72.09 % |
| 243. | Templeton Global Total Return Fund N (acc) | Rentenfonds | LU0170477797 | 33.33 % | 56.68 % | 71.61 % |
| 244. | UniAsiaPacific A | Aktienfonds | LU0100937670 | 35.46 % | -2.25 % | 71.00 % |
| 245. | Vitruvius Emerging Markets € | Aktienfonds | LU0148753444 | 6.28 % | -7.16 % | 70.78 % |
| 246. | Pictet Global Emerging Debt HP CHF | Rentenfonds | LU0170990948 | 32.71 % | 68.29 % | 69.76 % |
| 247. | SISF Emerging Asia A thesaurierend | Aktienfonds | LU0181495838 | 28.64 % | 5.73 % | 69.43 % |
| 248. | MEINL INDIA GROWTH | Aktienfonds | AT0000495429 | 33.08 % | -0.81 % | 69.40 % |
| 249. | Parvest China D | Aktienfonds | LU0154242142 | 14.52 % | -26.06 % | 69.26 % |
| 250. | Parvest China C | Aktienfonds | LU0154242225 | 14.54 % | -26.05 % | 69.16 % |