Fonds-Suche

Suchen

2.646 Fonds Ergebnisse

Name WKN KVG F-Fex
Rating
Morningstar
Rating
FNG
Siegel
1J Perf.
%
5J Perf.
%
10J Perf.
%
Volumen
in Mio.
BlackRock Global Funds - Global Multi-Asset Income Fund GBP Hedged Fonds A2JF58
BlackRock
8,62 12,90 - 4151,98
BlackRock Global Funds - Global Multi-Asset Income Fund X 5G GBP Hedged Fonds A2N5R3
BlackRock
9,63 17,86 - 4151,98
BlackRock Global Funds - Global Multi-Asset Income Fund X2 USD Fonds A1JZCJ
BlackRock
9,91 23,54 63,64 4151,98
BlackRock Global Funds - Global Multi-Asset Income Fund X8 AUD Hedged Fonds A2JCS2
BlackRock
8,61 15,09 - 4151,98
BlackRock Global Funds - India Fund A4 GBP Fonds A0JK7G
BlackRock
-1,83 34,59 108,87 481,77
BlackRock Global Funds - India Fund C2 Fonds A0JK55
BlackRock
-4,74 20,97 48,85 481,77
BlackRock Global Funds - India Fund C2 Fonds A1C32L
BlackRock
-4,74 20,97 48,85 481,77
BlackRock Global Funds - India Fund D2 Fonds A0Q0QL
BlackRock
E -2,81 33,71 81,79 481,77
BlackRock Global Funds - India Fund D2 Fonds A1JRXK
BlackRock
E -2,81 33,71 81,79 481,77
BlackRock Global Funds - India Fund D4 GBP Fonds A1J4QT
BlackRock
-1,10 39,74 125,07 481,77
BlackRock Global Funds - India Fund E2 Fonds A0JK56
BlackRock
E -4,02 25,59 60,42 481,77
BlackRock Global Funds - India Fund E2 Fonds A0JK57
BlackRock
E -4,02 25,59 60,42 481,77
BlackRock Global Funds - India Fund I2 USD Fonds A3C2J5
BlackRock
-2,55 - - 481,77
BlackRock Global Funds - India Fund A2 Fonds A0JK53
BlackRock
E -3,53 28,81 68,68 481,77
BlackRock Global Funds - India Fund A2 Fonds A0JK52
BlackRock
E -3,53 28,81 68,68 481,77
BlackRock Global Funds - India Fund X2 USD Fonds A0JK58
BlackRock
-1,81 40,74 - 481,77
BlackRock Global Funds - Japan Flexible Equity Fund A10 HKD Hedged Fonds
BlackRock
11,07 - - 625,05
BlackRock Global Funds - Japan Flexible Equity Fund A10 USD Hedged Fonds
BlackRock
11,97 - - 625,05
BlackRock Global Funds - Japan Flexible Equity Fund A2 SGD Hedged Fonds
BlackRock
- - - 625,05
BlackRock Global Funds - Japan Flexible Equity Fund A4 GBP Fonds A0HGU8
BlackRock
7,22 37,51 128,35 625,05