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394 Treffer
NameWKNDatumRatingKursPerf. 1 JahrPerf. 3 JahreSharpe RatioFondsgesellschaft
DWS Inv ESG € Bds (Sh) LC 551872 19.11.19 3 145,84 0,73 % −0,26 % −− DWS Investment S.A.
DWS Inv Gl Bd Hg Convicti FC DWS2GP 19.11.19 -- 103,67 2,96 % 3,46 % −− DWS Investment S.A.
DWS Inv Gl Bonds LD DWS045 19.11.19 2 91,51 0,41 % −1,98 % −− DWS Investment S.A.
DWS Inv Multi Credit $ LD DWS2A6 19.11.19 -- 110,27 10,46 % 14,22 % −− DWS Investment S.A.
DWS Inv € Corp Bds LC DWS0M3 19.11.19 4 167,31 6,82 % 8,98 % −− DWS Investment S.A.
DWS Inv € HY Corp LC DWS04E 19.11.19 4 156,65 5,54 % 11,99 % −− DWS Investment S.A.
E.G Vermög E.G Anl A A0M9SV 18.11.19 4 53,00 3,30 % 2,72 % −− LRI Invest S.A.
EuroRent-EM-INVEST 847925 19.11.19 3 47,36 5,20 % 11,22 % −− Deka Investment GmbH
Fed IF Hg Inc Advantage A-$ 989059 18.11.19 4 50,15 8,74 % 17,50 % −− Federated International Management Limited
Fed IF Hg Inc Advantage A-€ A0EALW 18.11.19 4 285,26 5,39 % 8,75 % −− Federated International Management Limited
Fed UT Inter-Renten 930392 18.11.19 3 34,95 7,83 % 0,81 % −− Federated International Management Limited
Fed UT €-Renten 930391 18.11.19 2 36,93 5,52 % 5,46 % −− Federated International Management Limited
FFPB Rendite A0MZG5 19.11.19 2 11,19 1,73 % −1,85 % −− Hauck & Aufhäuser Asset Management Services S.a r.l.
FPSC CG Shkmn Hansa HY Fd A€ A1CSS0 18.11.19 -- 104,40 4,80 % 9,08 % −− Fund Partners Limited
Frankfurter-Sparinrent Deka 847998 19.11.19 2 52,45 3,74 % 4,11 % −− Deka Investment GmbH
FT EuroGovernments M A0NEBR 18.11.19 3 53,36 2,11 % 1,33 % −− ODDO BHF ASSET MANAGEMENT GmbH
FTIF Fran Euro Gvt Bd A 989669 19.11.19 2 11,65 9,15 % 7,08 % −− Franklin Templeton International Services S.à r.l.
FTIF Fran Euro High Yield A 937442 19.11.19 3 6,02 4,84 % 9,73 % −− Franklin Templeton International Services S.à r.l.
FTIF Fran Eurp Corp Bd A A1CU9D 18.11.19 3 11,42 5,58 % 6,31 % −− Franklin Templeton International Services S.à r.l.
FTIF Fran Strat Income A € A0MR79 18.11.19 3 14,56 9,46 % 6,50 % −− Franklin Templeton International Services S.à r.l.
FTIF Tem Asian Bond A A0KECQ 18.11.19 2 9,43 3,19 % 4,01 % −− Franklin Templeton International Services S.à r.l.
FTIF Tem EM Bond Fund A€h1 A1CU8U 18.11.19 2 5,30 −5,13 % −3,75 % −− Franklin Templeton International Services S.à r.l.
FTIF Tem Gl High Yield A € A0MR8V 18.11.19 -- 6,62 6,24 % 5,03 % −− Franklin Templeton International Services S.à r.l.
FTIF Tem Gl TR Fd A Yd A0MR7Z 19.11.19 3 11,56 −0,48 % 3,15 % −− Franklin Templeton International Services S.à r.l.
FTIF Tem Gl TR Fd A€h1 A1C0SM 18.11.19 3 7,14 −6,02 % −1,79 % −− Franklin Templeton International Services S.à r.l.
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