Fondsübersicht

Hier finden sie tagesaktuelle Informationen zu unserer Fondsauswahl.

Fondsname
ISIN
Morning-
star
Rücknahme-
kurs
Wertentwicklung % Risiko-
klasse
1
Monat
6
Monate
1
Jahr
5
Jahre
10
Jahre
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Vontobel Fund Global Equity B
LU0218910536
Aktienfonds
268,190 USD 1,310% 12,425% 24,340% 60,295% 68,049%
Threadneedle Investment Funds ICVC American Select Fund Retail Accumulation USD
GB0002769536
Aktienfonds
3,804 USD 1,926% 11,166% 25,525% 78,515% 79,721%
Sparinvest Ethical Global Value EUR R
LU0362355355
Aktienfonds
162,440 EUR 5,432% 1,417% 14,985% 80,951% --
Pioneer Funds US Pioneer Fund A
LU0133643469
Aktienfonds
8,810 EUR 3,642% -0,898% 13,222% 92,156% 87,261%
Pioneer Funds US Mid Cap Value A
LU0133607589
Aktienfonds
11,270 EUR 5,223% -5,050% 8,149% 83,116% 70,650%
Pioneer Funds Top European Players A
LU0119366952
Aktienfonds
8,460 EUR 1,807% 1,562% 15,595% 50,355% 21,233%
Pioneer Funds North Amercian Basic Value A
LU0229387385
Aktienfonds
85,510 EUR 5,517% -1,746% 11,112% 73,724% 68,221%
Pioneer Funds Global Ecology A
LU0271656133
Aktienfonds
260,720 EUR 3,388% 1,398% 10,241% 63,753% 23,667%
Pictet Water P EUR
LU0104884860
Aktienfonds
293,150 EUR 3,200% -0,278% 11,684% 78,586% 84,941%
Nordea 1 Sicav North American Value Fund BP
LU0076314649
Aktienfonds Info
53,080 USD 3,651% 9,896% 21,575% 66,186% 15,140%
Nordea 1 Sicav European Value Fund BP
LU0064319337
Aktienfonds
62,100 EUR 2,797% 3,638% 15,577% 60,880% 44,150%
Multipartner SICAV RobecoSAM Smart Energy Fund B
LU0175571735
Aktienfonds
24,960 EUR 5,852% 11,180% 23,870% 55,031% 9,907%
Magellan C
FR0000292278
Aktienfonds
24,860 EUR 3,842% 6,603% 17,430% 51,207% 54,667%
M&G Investment Funds (1) M&G Global Basics Fund A Euro
GB0030932676
Aktienfonds
31,991 EUR 4,796% 1,548% 13,101% 30,115% 27,786%
LOYS Sicav LOYS Global P
LU0107944042
Aktienfonds
29,080 EUR 3,820% 6,403% 16,088% 68,090% 83,343%
JSS Multi Label SICAV New Energy Fund (EUR) B
LU0121747215
Aktienfonds Info
5,680 EUR 3,649% 1,974% 7,984% 26,503% -54,008%
JSS Investmentfonds SICAV JSS Sustainable Equity - New Power P EUR
LU0288930869
Aktienfonds
54,630 EUR 4,076% 2,380% 9,809% 24,018% -52,676%
JSS Investmentfonds SICAV JSS OekoSar Equity - Global P EUR
LU0229773345
Aktienfonds
172,940 EUR 3,272% 2,246% 12,936% 48,217% 20,063%
JPMorgan Funds Global Focus Fund A
LU0210534227
Aktienfonds
28,220 EUR 4,056% -0,247% 13,744% 76,374% 75,279%
JPMorgan Funds Germany Equity Fund A
LU0210532791
Aktienfonds
29,620 EUR 5,184% 12,154% 22,295% 80,830% 62,926%
JPMorgan Funds Europe Dynamic Technologies A
LU0210532015
Aktienfonds
41,320 EUR 3,171% 14,396% 32,733% 179,566% 164,194%
JPMorgan Funds Emerging Markets Equity Fund A
LU0210529656
Aktienfonds
27,620 USD 0,290% 20,453% 27,988% 27,457% 11,731%
JPMorgan Funds America Equity Fund A
LU0053666078
Aktienfonds
176,490 USD 2,200% 11,732% 20,497% 83,225% 81,675%
iShares VII plc iShares Core EURO STOXX 50 UCITS ETF EUR (Acc)
IE00B53L3W79
Aktienfonds
108,945 EUR 2,774% 7,015% 23,619% 70,653% --
iShares V plc iShares MSCI World EUR Hedged UCITS ETF (Acc)
IE00B441G979
Aktienfonds
49,198 EUR 2,861% 8,773% 19,351% 72,716% --
iShares Public Limited Company iShares MSCI EM UCITS ETF USD (Dist)
IE00B4L5YC18
Aktienfonds
29,791 EUR 4,011% 7,044% 19,731% 34,302% --
iShares Core DAX UETF(DE)
DE0005933931
Aktienfonds
113,450 EUR 3,844% 8,597% 22,494% 74,006% 60,522%
HSBC Global Investment Funds Indian Equity A
LU0164881194
Aktienfonds Info
192,631 USD -1,378% 9,576% 22,799% 36,969% -8,539%
Henderson Horizon Fund Pan European Equity Fund A2 EUR
LU0138821268
Aktienfonds
28,900 EUR 2,120% 4,294% 13,023% 62,816% 59,492%
Generali FondsStrategie Aktien Global Dynamik
LU0136762910
Aktienfonds
72,840 EUR 2,707% -1,474% 10,901% 60,075% 34,309%
Franklin Templeton Investment Funds Templeton Growth (Euro) Fund A
LU0114760746
Aktienfonds
17,370 EUR 2,659% -1,753% 11,346% 59,797% 43,553%
Franklin Templeton Investment Funds Templeton Eastern Europe Fund A
LU0078277505
Aktienfonds Info
24,820 EUR 0,648% 8,859% 23,667% 11,801% -36,908%
Franklin Templeton Investment Funds Templeton Asian Growth Fund A
LU0128522157
Aktienfonds
39,420 USD 2,203% 16,180% 31,883% 17,112% 10,050%
Fondak
DE0008471012
Aktienfonds
190,720 EUR 3,164% 10,768% 24,066% 88,811% 51,381%
Fidelity Funds International Fund A
LU0048584097
Aktienfonds
55,770 USD 1,863% 10,195% 17,882% 60,787% 35,097%
Fidelity Funds Global Dividend Fund A (EUR) Hedged
LU0605515377
Aktienfonds
18,650 EUR 2,303% 4,657% 10,420% 65,190% --
Fidelity Funds Global Demographics Fund A Euro Hedged
LU0528228074
Aktienfonds
18,760 EUR 1,901% 10,743% 15,304% 76,647% --
Fidelity Funds Germany Fund A
LU0048580004
Aktienfonds
53,160 EUR 3,343% 8,845% 19,756% 88,091% 67,241%
Fidelity Funds European Growth Fund A
LU0048578792
Aktienfonds
15,350 EUR 3,227% 2,447% 15,501% 61,385% 25,111%
Fidelity Funds European Growth Fund A
LU0296857971
Aktienfonds
12,880 EUR 3,287% 2,466% 15,515% 61,464% 25,170%
DWS Vermgensbildungsfonds I LD
DE0008476524
Aktienfonds
151,800 EUR 3,851% 1,620% 14,480% 76,619% 54,166%
DWS Top Dividende LD
DE0009848119
Aktienfonds
124,020 EUR 2,461% -2,820% 5,369% 59,657% 77,842%
Deutsche Invest I Top Europe L
LU0145634076
Aktienfonds Info
188,920 EUR 1,597% 5,796% 17,993% 63,326% 10,016%
 3
Info
Deutsche Invest I Top Asia L
LU0145648290
Aktienfonds
284,140 EUR 4,559% 10,037% 17,573% 68,100% 31,918%
 3
Info
Deutsche Invest I Global Agribusiness LC
LU0273158872
Aktienfonds
137,180 EUR 2,818% 2,702% 12,627% 8,597% 15,238%
Carmignac Investissement A EUR Acc
FR0010148981
Aktienfonds
1.221,140 EUR 0,710% 3,166% 9,746% 39,278% 53,649%
C-QUADRAT ARTS Total Return Global AMI
DE000A0F5G98
Aktienfonds
113,010 EUR 1,801% 4,648% 9,179% 28,180% 45,116%
BlackRock Global Funds World Mining Fund A2 USD
LU0075056555
Aktienfonds
38,340 USD 2,103% 15,795% 29,308% -36,659% -59,492%
BlackRock Global Funds World Gold Fund A2 EUR
LU0171305526
Aktienfonds
26,090 EUR -0,609% -15,264% -10,343% -39,843% -27,868%
Baloise Fund Invest (Lux) BFI Equity Fund (EUR) R
LU0226794815
Aktienfonds
200,250 EUR 3,211% -2,221% 11,852% 58,262% 40,909%
Allianz Global Investors Fund V Allianz US Equity C2
IE0002495467
Aktienfonds
60,690 USD 1,760% 9,627% 19,338% 65,405% 64,326%
AB FCP I Global Growth Trends Portfolio A
LU0057025933
Aktienfonds Info
69,820 USD 1,028% 16,330% 25,952% 56,262% -1,760%
1 Berechnung auf Basis Vortagespreis (© vwd Vereinigte Wirtschaftsdienste)
2 Dieser Fonds wird bei Neuabschluss einer Fondsgebundenen Versicherung nicht mehr angeboten.