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114 Fonds Ergebnisse

Name WKN KVG F-Fex
Rating
Morningstar
Rating
FNG
Siegel
1J Perf.
%
5J Perf.
%
10J Perf.
%
Volumen
in Mio.
FISCH Convertible Global Defensive Fund BE2 Fonds A1T7S3 Fisch Asset Management C 4,31 -0,01 7,60 86,14
FISCH Convertible Global Defensive Fund GE2 Fonds A2PQMU Fisch Asset Management C 4,64 1,48 - 86,14
FISCH Convertible Global Defensive Fund MC Fonds A1JXTU Fisch Asset Management C 2,28 -2,34 4,63 86,14
FISCH Convertible Global Defensive Fund RC Fonds A2N9G7 Fisch Asset Management C 1,19 -7,32 - 86,14
FISCH Convertible Global Defensive Fund RE Fonds A2JBW4 Fisch Asset Management D 3,91 -1,86 - 86,14
FISCH Convertible Global Defensive Fund VE EUR Fonds A2QPEF Fisch Asset Management 4,47 - - 86,14
FISCH Convertible Global Dynamic Fund AC Fonds A2PQ5L Fisch Asset Management B 3,98 7,97 - 93,79
FISCH Convertible Global Dynamic Fund AE Fonds A2PQ5M Fisch Asset Management C 6,28 12,49 - 93,79
FISCH Convertible Global Dynamic Fund BC Fonds A2JM9Y Fisch Asset Management B 4,72 11,88 - 93,79
FISCH Convertible Global Dynamic Fund BD Fonds A2JM9Z Fisch Asset Management A 8,96 28,11 - 93,79
FISCH Convertible Global Dynamic Fund BE Fonds A2JM90 Fisch Asset Management C 7,11 16,91 - 93,79
FISCH Convertible Global Dynamic Fund LC Fonds A2JM91 Fisch Asset Management 5,07 13,81 - 93,79
FISCH Convertible Global Dynamic Fund LE Fonds A2JM92 Fisch Asset Management 7,57 19,21 - 93,79
FISCH Convertible Global Dynamic Fund MD Fonds A3DCC4 Fisch Asset Management 9,78 - - 93,79
FISCH Convertible Global Dynamic Fund RE Fonds A2PZ3Z Fisch Asset Management 6,81 - - 93,79
FISCH Convertible Global IG Fund AC CHF Fonds A2QL0E Fisch Asset Management 1,17 - - 59,49
FISCH Convertible Global IG Fund BC CHF Fonds A2QL0F Fisch Asset Management 1,98 - - 59,49
FISCH Convertible Global IG Fund BD USD Fonds A2QL0G Fisch Asset Management 6,15 - - 59,49
FISCH Convertible Global IG Fund BE EUR Fonds A2QL0H Fisch Asset Management 4,48 - - 59,49
FISCH Convertible Global IG Fund BE2 EUR Fonds A2QL0J Fisch Asset Management 4,29 - - 59,49