| |
Fondsname
|
Fondstyp
|
ISIN
|
1 Jahr
|
3 Jahre
|
5 Jahre
|
| 901. | PIA - Central Europe Bd VT IT | Rentenfonds | AT0000619325 | 14.83 % | 25.17 % | 31.82 % |
| 902. | Pioneer Funds Austria - Central & Eastern Europe Bd. (VT) AT | Rentenfonds | AT0000674924 | 14.83 % | 25.17 % | 31.82 % |
| 903. | Pioneer Funds - Emerging Markets Equity A USD (DM) | Aktienfonds | LU0119364585 | 31.09 % | -25.37 % | 31.77 % |
| 904. | DJE Golden Wave | Dachfonds | AT0000675707 | 18.00 % | 1.94 % | 31.75 % |
| 905. | JF Pacific Technology A (dist) - USD | Aktienfonds | LU0111753926 | 15.10 % | -8.13 % | 31.74 % |
| 906. | LBBW Rohstoffe & Ressourcen | Dachfonds | DE0005326482 | 21.85 % | 1.39 % | 31.73 % |
| 907. | AXA WF - Framlington Switzerland A (auss.) | Aktienfonds | LU0087657077 | 20.28 % | -2.10 % | 31.70 % |
| 908. | AXA WF - Framlington Switzerland A (thes.) | Aktienfonds | LU0087657150 | 20.27 % | -2.11 % | 31.70 % |
| 909. | AXA WF EURO 10+LT I Dis | Rentenfonds | LU0227145116 | 16.23 % | 38.34 % | 31.69 % |
| 910. | AXA WF EURO 10+LT I Cap | Rentenfonds | LU0227144903 | 16.22 % | 38.33 % | 31.68 % |
| 911. | WestLB Mellon Compass Fd Global Emerging Markets Bond C EUR | Rentenfonds | LU0214895061 | 32.44 % | 32.54 % | 31.68 % |
| 912. | SISF Emerging Markets Debt Absolute Return Fd B au. | Absolute Return Fonds | LU0080735201 | 19.61 % | 30.82 % | 31.67 % |
| 913. | SISF Emerging Markets Debt Absolute Return Fd B th. | Absolute Return Fonds | LU0106253270 | 19.66 % | 30.77 % | 31.67 % |
| 914. | DB Platinum IV CROCI Germ. I1C | Aktienfonds | LU0228581574 | 9.06 % | -19.24 % | 31.66 % |
| 915. | DWS (CH)-Helvetia Aktien | Aktienfonds | CH0006283813 | 16.37 % | -1.17 % | 31.65 % |
| 916. | JF Pacific Technology A (acc) - USD | Aktienfonds | LU0210528179 | 15.14 % | -8.16 % | 31.65 % |
| 917. | iShares eb.rexx® Gov. Germany (DE) | Rentenfonds | DE0006289465 | 8.21 % | 23.94 % | 31.62 % |
| 918. | UBS (Lux) Equity Fund - Canada (CAD) P-acc | Aktienfonds | LU0043389872 | 22.89 % | -3.88 % | 31.62 % |
| 919. | Allianz PIMCO Bondspezial - AT - EUR | Rentenfonds | LU0036819554 | 24.47 % | 43.34 % | 31.50 % |
| 920. | Allianz PIMCO Bondspezial - A - EUR | Rentenfonds | LU0006245863 | 24.51 % | 43.37 % | 31.48 % |
| 921. | AXA Rosenberg Pacific Ex-Japan Small Cap Alpha Fund B Euro | Aktienfonds | IE0031069499 | 26.37 % | -23.42 % | 31.46 % |
| 922. | Deka Kommunal Euroland Balance | Mischfonds | DE0007019499 | 8.38 % | 18.29 % | 31.40 % |
| 923. | UBS (Lux) Bond Fund - JPY P-acc | Rentenfonds | LU0035348555 | 28.24 % | 53.96 % | 31.38 % |
| 924. | DWS Convertibles | Rentenfonds | DE0008474263 | 10.67 % | 8.21 % | 31.34 % |
| 925. | Schroder Emerging Europe acc C | Aktienfonds | LU0106820292 | 35.35 % | -14.67 % | 31.34 % |
| 926. | C-QUADRAT ARTS Total Return Bond (T) | Dachfonds | AT0000634720 | 13.54 % | 29.65 % | 31.31 % |
| 927. | Franklin European Growth Fund Class A (acc) | Aktienfonds | LU0122612848 | 22.57 % | -2.89 % | 31.26 % |
| 928. | SGAM Fund BONDS - US Opportunistic Core Plus A | Rentenfonds | LU0011828380 | 24.69 % | 40.91 % | 31.25 % |
| 929. | Pictet EUR High Yield HP CHF | Rentenfonds | LU0174610443 | 41.07 % | 36.21 % | 31.24 % |
| 930. | smart-invest - HELIOS AR B | Dachfonds | LU0146463616 | 4.80 % | 4.60 % | 31.24 % |
| 931. | Raiffeisen-Osteuropa-Rent (VT) Stückorder | Rentenfonds | AT0000740667 | 13.72 % | 21.64 % | 31.22 % |
| 932. | Kathrein Max Return (EUR) (T) | Absolute Return Fonds | AT0000623038 | 0.39 % | 37.20 % | 31.19 % |
| 933. | Principal High Yield Euro Hedged A | Rentenfonds | IE00B00JW110 | 31.74 % | 33.08 % | 31.16 % |
| 934. | Jefferies Gl. Convertibles B CHF | Rentenfonds | LU0172460973 | 25.84 % | 23.68 % | 31.15 % |
| 935. | HSBC GIF Euro High Yield Bond AD | Rentenfonds | LU0165128421 | 17.03 % | 22.41 % | 31.15 % |
| 936. | Nordea Far Eastern Equity BP NOK | Aktienfonds | LU0174358928 | 30.66 % | -12.11 % | 31.14 % |
| 937. | Thames River Global Bond £ A | Rentenfonds | IE00B040HF97 | 13.32 % | 24.16 % | 31.13 % |
| 938. | Sauren Global Opportunities | Dachfonds | LU0106280919 | 26.53 % | 0.65 % | 31.12 % |
| 939. | HSBC GIF Euro High Yield Bond AC | Rentenfonds | LU0165128348 | 17.03 % | 22.38 % | 31.11 % |
| 940. | SISF Asian Equity Yield A1 Acc | Aktienfonds | LU0188439193 | 35.59 % | 1.72 % | 31.11 % |
| 941. | CS (Lux) T.R. Asia Pacific R € | Mischfonds | LU0186836952 | 14.14 % | 9.01 % | 31.10 % |
| 942. | Fidelity Funds - US High Yield Fund A (USD) | Rentenfonds | LU0132282301 | 34.57 % | 32.61 % | 31.05 % |
| 943. | Threadneedle Global EM Equities DU | Aktienfonds | LU0143863784 | 28.68 % | -1.48 % | 31.05 % |
| 944. | ESPA Bond Yen A | Rentenfonds | AT0000831227 | 28.12 % | 52.63 % | 31.03 % |
| 945. | Pictet Eastern Europe I | Aktienfonds | LU0131718073 | 38.01 % | -18.88 % | 31.01 % |
| 946. | JF Pacific Balanced A (dist) - USD | Mischfonds | LU0117844026 | 21.64 % | 6.07 % | 30.99 % |
| 947. | Geno-RenditeSpezial-Union | Rentenfonds | DE0009757732 | 16.01 % | 24.07 % | 30.98 % |
| 948. | WestLB Mellon Compass Fd Global Emerging Markets Bond C USD | Rentenfonds | LU0105925266 | 32.03 % | 32.82 % | 30.95 % |
| 949. | Morgan St. Asian Property I $ | Aktienfonds | LU0078113064 | 20.78 % | -14.33 % | 30.94 % |
| 950. | Fondra | Mischfonds | DE0008471004 | 8.15 % | -3.33 % | 30.92 % |