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2.771 Fonds Ergebnisse

Name WKN KVG F-Fex
Rating
Morningstar
Rating
FNG
Siegel
1J Perf.
%
5J Perf.
%
10J Perf.
%
Volumen
in Mio.
BlackRock Systematic Global Equity Absolute Return Fund A2 EUR Hedged Fonds A12HJK BlackRock 10,90 30,39 33,43 469,2
BlackRock Systematic Global Equity Absolute Return Fund A2 JPY Hedged Fonds BlackRock - - - 469,2
BlackRock Systematic Global Equity Absolute Return Fund A2 CHF Hedged Fonds BlackRock - - - 469,2
BlackRock Systematic Global Equity Absolute Return Fund SR PF 2 USD Fonds BlackRock - - - 469,2
BlackRock Systematic Global Equity Absolute Return Fund SR PF 2 EUR Fonds BlackRock - - - 469,2
BlackRock Systematic Global Equity Absolute Return Fund SR PF 4 USD Fonds BlackRock - - - 469,2
BlackRock Systematic Global Equity Absolute Return Fund SR PF 4 EUR Fonds BlackRock - - - 469,2
BlackRock Systematic Global Equity Absolute Return Fund SR PF 4 GBP Fonds BlackRock - - - 469,2
BlackRock Systematic Global Equity Absolute Return Fund SR2 PF EUR Hedged Fonds BlackRock - - - 469,2
BlackRock Systematic Global Equity Absolute Return Fund SR4 PF EUR Hedged Fonds BlackRock - - - 469,2
BlackRock Systematic Global Equity Absolute Return Fund SR4 PF GBP Hedged Fonds BlackRock - - - 469,2
BlackRock Systematic Global Equity Absolute Return Fund X2 USD Fonds A114GN BlackRock 15,75 58,14 98,61 469,2
BMIP vermoegensanlage99 defensiv T EUR Fonds A3DN5Y BlackRock 5,38 - - 197,53
BMIP vermoegensanlage99 dynamisch T EUR Fonds A3DN6D BlackRock 8,64 - - 778,12
BMIP vermoegensanlage99 konservativ T EUR Fonds A3DN6B BlackRock 6,34 - - 153,39
BMIP vermoegensanlage99 progressiv T EUR Fonds A3DN6C BlackRock 7,06 - - 1020,78
iShares Emerging Markets Equity Index Fund (LU) D2 USD Cap Fonds A2JKWC BlackRock C 44,40 23,04 - 386,39
iShares Emerging Markets Equity Index Fund (LU) D2 EUR Fonds A2JKWD BlackRock C 25,77 25,49 - 386,39
iShares Emerging Markets Equity Index Fund (LU) F2 USD Fonds A1J6KF BlackRock C 44,40 23,03 173,86 386,39
iShares Emerging Markets Equity Index Fund (LU) F2 USD Fonds BlackRock C 44,40 23,03 173,86 386,39