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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Veri ETF-Dachfonds (P)
DE0005561674
Mischfonds
15,540 EUR 0,387% 2,777% 6,312% 25,689% 47,233%
Schroder International Selection Fund Global Multi-Asset Balanced A Dis
LU0776414756
Mischfonds
106,249 EUR 0,538% 0,596% 3,142% 10,379% --
Sauren Global Defensiv A
LU0163675910
Mischfonds
15,500 EUR -0,513% 0,064% 2,242% 7,192% 20,622%
Sauren Global Balanced D
LU0318491288
Mischfonds
11,300 EUR -0,528% 1,452% 7,162% 21,106% 24,921%
Pioneer Investments Multi Manager Best Select A DA
DE000A1W9BL3
Mischfonds
56,600 EUR -0,211% 0,711% 3,118% -- --
Pimco Global Investors Series Plc Global Multi-Asset Fund E Hedged EUR
IE00B4YYY703
Mischfonds
14,850 EUR 0,883% 3,918% 9,030% 9,918% --
Nordea 1 Sicav Stable Return Fund BP
LU0227384020
Mischfonds
16,830 EUR 0,899% -0,118% 3,188% 28,179% 54,120%
M&G Optimal Income Fund A Hedged
GB00B1VMCY93
Mischfonds
20,293 EUR 0,330% 1,756% 4,750% 23,505% 105,490%
M&G Dynamic Allocation Fund A
GB00B56H1S45
Mischfonds
16,634 EUR 0,290% 3,331% 7,959% 40,090% --
M & W Invest M & W Capital
LU0126525004
Mischfonds Info
47,390 EUR -5,616% -14,164% -16,625% -27,293% -31,842%
JSS Investmentfonds SICAV JSS Sustainable Portfolio - Balanced (EUR) P EUR
LU0058892943
Mischfonds
198,460 EUR 0,176% 0,582% 2,978% 22,194% 37,653%
Invesco Funds Invesco Balanced-Risk Allocation Fund A
LU0482498176
Mischfonds
16,890 EUR -0,177% 2,674% 5,959% 18,277% --
Inovesta Classic
DE0005117493
Mischfonds
49,590 EUR 0,915% 1,913% 9,135% 45,968% 17,926%
Franklin Templeton Investment Funds Templeton Global Balanced Fund N(acc) EUR
LU0140420323
Mischfonds
18,380 EUR 0,767% 0,327% 2,452% 40,842% 52,404%
Franklin Templeton Investment Funds Franklin Diversified Dynamic Fund A(acc) EUR
LU1147471145
Mischfonds
13,730 EUR 1,478% 1,104% 3,622% 38,967% 35,538%
Franklin Templeton Investment Funds Franklin Diversified Conservative Fund A(acc) EUR
LU1147470683
Mischfonds
13,680 EUR 0,293% -0,509% 1,408% 13,057% 31,160%
Franklin Templeton Investment Funds Franklin Diversified Balanced Fund A(acc) EUR
LU1147470170
Mischfonds
13,700 EUR 1,107% 0,366% 3,007% 28,517% 35,912%
FMM-Fonds
DE0008478116
Mischfonds
520,980 EUR -0,206% 5,342% 14,523% 43,282% 40,310%
Flossbach von Storch SICAV Multiple Opportunities R
LU0323578657
Mischfonds
240,190 EUR 1,514% 2,376% 7,841% 48,055% 149,387%
Fidelity Funds SMART Global Defensive A (EUR)
LU0251130554
Mischfonds
13,820 EUR 0,072% -1,842% -4,284% 23,440% 31,779%
Fidelity Funds Global Multi Asset Income Fund Zins & Dividende A G EUR Hedged
LU1129851157
Mischfonds
9,816 EUR 0,378% 1,037% 5,960% -- --
Fidelity Funds Euro Balanced Fund A
LU0052588471
Mischfonds
18,440 EUR 0,930% 0,307% 8,881% 41,146% 49,153%
Ethna-DYNAMISCH
LU0455735596
Mischfonds
84,070 EUR 1,779% 4,357% 9,338% 36,588% --
Ethna-DEFENSIV T
LU0279509144
Mischfonds
162,030 EUR -0,154% 0,752% 2,259% 10,517% 60,251%
Ethna-AKTIV A
LU0136412771
Mischfonds
130,210 EUR 0,084% 2,406% 6,853% 15,048% 48,107%
DWS Vermgensmandat Dynamik
LU0309483781
Mischfonds
129,140 EUR 0,780% 2,728% 4,722% 41,729% 34,585%
DWS Vermgensmandat Defensiv
LU0309482544
Mischfonds
106,590 EUR 0,140% 0,244% 1,049% 3,682% 10,498%
DWS Vermgensmandat Balance
LU0309483435
Mischfonds
122,250 EUR 0,509% 1,629% 4,075% 28,061% 27,157%
DWS Stiftungsfonds LD
DE0005318406
Mischfonds
49,440 EUR 0,712% 1,207% 3,871% 18,559% 23,150%
DWS Garant 80 FPI
LU0327386305
Mischfonds
124,980 EUR 1,124% 1,883% 5,996% 36,575% --
 3
Info
Deutsche Multi Opportunities LD
LU0989117667
Mischfonds
118,650 EUR 0,033% -2,103% -0,090% -- --
Carmignac Patrimoine E EUR Acc
FR0010306142
Mischfonds
161,690 EUR -0,375% -2,490% -0,412% 14,926% --
Carmignac Patrimoine A
FR0010135103
Mischfonds
649,650 EUR -0,326% -2,227% 0,081% 17,822% 54,352%
BlackRock Global Funds Global Allocation Fund A2 EUR
LU0171283459
Mischfonds
48,310 EUR 0,582% -0,637% 0,520% 45,687% 73,154%
Baloise Fund Invest (Lux) BFI Activ (EUR) R
LU0127030749
Mischfonds
76,170 EUR 0,382% 0,634% 3,057% 23,873% 39,531%
1 Berechnung auf Basis Vortagespreis (© vwd Vereinigte Wirtschaftsdienste)
2 Dieser Fonds wird bei Neuabschluss einer Fondsgebundenen Versicherung nicht mehr angeboten.