Fonds-Suche

Suchen

107 Fonds Ergebnisse

Name WKN KVG F-Fex
Rating
Morningstar
Rating
FNG
Siegel
1J Perf.
%
5J Perf.
%
10J Perf.
%
Volumen
in Mio.
FISCH Bond EM Corporates Defensive Fund AC Fonds A1CYZH Fisch Asset Management C 1,42 -11,68 -6,11 267,51
FISCH Bond EM Corporates Defensive Fund AD Fonds A1CYZJ Fisch Asset Management C 6,03 2,91 24,09 267,51
FISCH Bond EM Corporates Defensive Fund AE Fonds A1CYZG Fisch Asset Management D 3,84 -5,93 2,96 267,51
FISCH Bond EM Corporates Defensive Fund BC Fonds A1CYZL Fisch Asset Management C 2,03 -8,99 -0,20 267,51
FISCH Bond EM Corporates Defensive Fund BD Fonds A1C1UM Fisch Asset Management B 6,71 6,23 32,23 267,51
FISCH Bond EM Corporates Defensive Fund BE Fonds A1CYZK Fisch Asset Management C 4,45 -2,92 9,71 267,51
FISCH Bond EM Corporates Defensive Fund BE2 Fonds A1CUJY Fisch Asset Management C 2,12 -13,79 -15,20 267,51
FISCH Bond EM Corporates Defensive Fund BZC Fonds A1XBEQ Fisch Asset Management 2,70 9,94 9,98 267,51
FISCH Bond EM Corporates Defensive Fund RE Fonds A2JBWL Fisch Asset Management D 4,23 -3,89 - 267,51
FISCH Bond EM Corporates Dynamic Fund AC Fonds A3DKEU Fisch Asset Management 1,84 - - 214,41
FISCH Bond EM Corporates Dynamic Fund BD Fonds A3DJWA Fisch Asset Management 7,28 - - 214,41
FISCH Bond EM Corporates Dynamic Fund BE Fonds A3DJV9 Fisch Asset Management 5,04 - - 214,41
FISCH Bond EM Corporates Dynamic Fund LC Fonds A3DJV8 Fisch Asset Management 2,93 - - 214,41
FISCH Bond EM Corporates Dynamic Fund LD Fonds A3DJV6 Fisch Asset Management 7,61 - - 214,41
FISCH Bond EM Corporates Dynamic Fund VC Fonds A419SR Fisch Asset Management - - - 214,41
FISCH Bond EM Corporates Dynamic Fund VE Fonds Fisch Asset Management - - - 214,41
FISCH Bond CHF Fund AC Fonds 615127 Fisch Asset Management 2,67 -4,79 -2,35 118,49
FISCH Bond CHF Fund BC Fonds 930388 Fisch Asset Management 3,22 -2,20 3,05 118,49
FISCH Bond CHF Fund MC Fonds A2DSHZ Fisch Asset Management 3,74 0,28 - 118,49
FISCH Bond Global Corporates Fund AC CHF Fonds A2APVP Fisch Asset Management C 1,00 -8,64 - 344,98