Fonds-Suche

Suchen

236 Fonds Ergebnisse

Name WKN KVG F-Fex
Rating
Morningstar
Rating
FNG
Siegel
1J Perf.
%
5J Perf.
%
10J Perf.
%
Volumen
in Mio.
Jupiter Merlin International Balanced Portfolio - Class L USD Acc Fonds A0QZXR Jupiter Asset Management International 4,81 38,23 43,22 41,11
Jupiter Merlin International Equities Portfolio - Class E GBP Acc Fonds A1C1HN Jupiter Asset Management International -3,59 47,29 - 24,98
Jupiter Pan European Smaller Companies A USD Acc HSC Fonds A2PWZ5 Jupiter Asset Management International -4,23 - - 15,25
Jupiter Pan European Smaller Companies C USD Acc HSC Fonds A2PWZ6 Jupiter Asset Management International -3,55 - - 15,25
Jupiter Pan European Smaller Companies D GBP Acc HSC Fonds A2PWZ2 Jupiter Asset Management International -3,60 - - 15,25
Jupiter Pan European Smaller Companies D EUR Acc Fonds A2PWZU Jupiter Asset Management International C -4,80 - - 15,25
Jupiter Pan European Smaller Companies I USD Acc HSC Fonds A2PWZZ Jupiter Asset Management International - - - 155,55
Jupiter Pan European Smaller Companies I GBP Acc HSC Fonds A2PWZ3 Jupiter Asset Management International - - - 155,55
Jupiter Pan European Smaller Companies I EUR Acc Fonds A2PWZV Jupiter Asset Management International C -4,76 - - 15,25
Jupiter Pan European Smaller Companies L USD Acc HSC Fonds A2PWZX Jupiter Asset Management International -3,95 - - 15,25
Jupiter Pan European Smaller Companies L GBP Acc HSC Fonds A2PWZ1 Jupiter Asset Management International - - - 155,55
Jupiter Pan European Smaller Companies L EUR Acc Fonds A2PWZT Jupiter Asset Management International D -5,53 - - 15,25
Jupiter Pan European Smaller Companies N USD Acc HSC Fonds A2PWZ7 Jupiter Asset Management International -4,52 - - 15,25
Jupiter Pan European Smaller Companies U2 USD Acc HSC Fonds A2PWZ0 Jupiter Asset Management International - - - 155,55
Jupiter Pan European Smaller Companies U2 GBP Acc HSC Fonds A2PWZ4 Jupiter Asset Management International - - - 155,55
Jupiter Pan European Smaller Companies U2 EUR Acc Fonds A2PWZW Jupiter Asset Management International C -4,62 - - 15,25