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66 Fonds Ergebnisse

Name WKN KVG F-Fex
Rating
Morningstar
Rating
FNG
Siegel
1J Perf.
%
5J Perf.
%
10J Perf.
%
Volumen
in Mio.
J57 Invesco Global Health Care Innovation Fonds Friends Provident International 7,37 14,72 40,19 82,89
J60 Templeton Emerging Markets Fonds Friends Provident International 8,43 -2,91 28,16 19,96
J71 Schroder Japanese Opportunities Fonds Friends Provident International 9,34 11,25 52,22 10,54
J74 Ninety One GS Global Strategic Equity Fonds Friends Provident International 16,53 38,04 81,43 97,08
J76 Principal European Responsible Equity (USD) Fonds Friends Provident International 5,10 20,03 51,00 5,69
J77 BlackRock US Flexible Equity Fonds Friends Provident International 18,89 67,52 153,00 63,71
J84 Fidelity Sustainable Europe Equity Fonds Friends Provident International 12,41 8,33 37,85 13,59
J87 Fidelity Euro Bond Fonds Friends Provident International 2,67 -12,43 -8,06 3,86
J95 JPMorgan Pacific Technology Fonds Friends Provident International 11,91 15,03 91,32 17,6
J96 abrdn SICAV I - Global Innovation Equity (USD) Fonds Friends Provident International 16,69 20,35 92,76 48,58
M55 Barings Hong Kong & China Fonds Friends Provident International 10,62 -21,80 1,61 37,24
M56 Barings Australia Fonds Friends Provident International 5,89 22,99 41,77 4,93
M57 Barings Global Bond (USD) Fonds Friends Provident International -3,24 -22,15 -23,03 9,77
M65 Ninety One GS Sterling Money Fonds Friends Provident International 3,38 2,18 -3,28 22,96
M66 Ninety One GS US Dollar Money Fonds Friends Provident International 3,56 3,90 1,80 63,29
M82 BlackRock World Gold Fonds Friends Provident International 18,30 22,96 49,57 70,71
M85 Invesco Global Founders & Owners (USD) Fonds Friends Provident International 27,53 69,62 111,67 12,81
M87 Invesco Global Small Cap Equity Fonds Friends Provident International 12,31 27,54 65,31 17,73
P02 Vanguard US 500 Stock Index Fonds Friends Provident International 23,47 82,64 189,04 245,22
P14 Canaccord Genuity Growth (GBP) Fonds Friends Provident International 11,95 13,09 41,26 8,91