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Übereinstimmende Investmentfonds1–25 von 4378 Ergebnissen
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Symbol
NameÄnderung% SchwankungPreis (Intraday)Durchschnitt – 50 Tage200-Tage-Durchschnitt3-Monats-RenditeYTD-Rendite52-Wochen-Bereich
0P0000604S.F
Amundi ESG Improvers Euro NC+7,53+3,14%239,63237,47219,654,69%6,87%
0P00005ZXU.F
Amundi Resa Actions France NC+8,21+2,79%293,92291,19271,485,26%6,50%
0P0000M4KN.F
Assurdix C/D+2,59+2,58%100,4098,6390,876,04%8,13%
0P0001E2CC.F
TULIP Trend UCITS A EUR Acc+35,78+2,57%1.390,191.294,971.290,8617,88%23,34%
0P0001E2CM.BE
TULIP Trend UCITS K AUD Acc+35,24+2,56%1.378,101.282,841.279,3216,73%21,52%
0P0001E2CD.F
TULIP Trend UCITS B EUR Acc+32,05+2,44%1.313,711.230,711.227,7615,73%20,67%
0P0001E2CN.BE
TULIP Trend UCITS L AUD Acc+30,93+2,42%1.276,921.195,461.192,6415,72%20,18%
0P00000QTM.F
Covéa Multi Immobilier A+2,50+2,38%104,9898,4693,282,79%0,15%
0P0000JSPO.F
Covéa Multi Immobilier I+4,06+2,38%170,54159,82151,053,00%0,42%
0P00014CLR.F
Maga Micro Cap Fund+5,44+2,12%256,69242,06242,062,22%3,31%
0P0000WUU2.L
Fidelity UK Smaller Companies W Acc+8,60+2,04%422,60394,18372,375,73%3,85%
0P00018WHG.F
Man VIII ICAV Man AHL Diversified DNHEUR+2,73+2,02%135,39134,03124,4319,97%17,88%
0P0001IWT0.F
Liontrust GF Spec Sits A3 Acc €+0,23+1,93%11,8211,3310,781,19%3,10%
0P0000XDOA.F
Liontrust GF Spec Sits A1 Acc €+0,40+1,92%20,7219,8918,980,94%2,76%
0P00000WS8.F
RGA-Renta Variable Global PP+0,26+1,92%13,5713,4112,385,82%7,64%
0P0001DDG3.F
LCL Sélect Dynactions C+2,68+1,91%140,21138,90129,395,39%7,92%
0P0000XDOG.F
Liontrust GF Spec Sits A2 Hdg Acc €+0,37+1,81%20,2719,4818,750,73%0,68%
0P0001IWNJ.F
UBS Global Emerging Mkts Opp Q EUR+1,90+1,80%105,46102,2897,758,78%5,54%
0P0000XV5B.BO
Edelweiss Mid Cap Dir IDCW-P+1,17+1,71%68,5465,4858,567,72%12,50%
0P00018WHH.F
Man VIII ICAV Man AHL DiversifiedDNRHEUR+2,45+1,69%145,06143,25132,6319,86%17,88%
0P0001K7IM.F
CIPEC Liberté International Dynamique IC+2.668,00+1,60%166.249,00167.413,95153.604,782,28%6,72%
0P0001BA41.BO
Franklin Build India Dir IDCW-R+0,83+1,52%54,3550,5944,7013,21%21,22%
0P0000XVP5.BO
Tata Infrastructure Dir IDCW-P+1,54+1,50%102,4795,1481,2214,21%21,81%
0P00016Z5J.F
Nomura Fds Japan Strategic Value R EUR H+3,22+1,43%225,97224,67195,7211,89%20,99%
0P0000W8PS.F
Nomura Fds Japan Strategic Value I EUR H+5,80+1,43%406,95404,68352,7311,84%20,92%
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