Name
|
Auflagedatum
|
Volumen
|
YTD-P
|
1-Y-P
|
3-Y-P
|
5-Y-P
|
Ofi Invest ESG Monétaire
FR0011381227
EUR / Acc. / Retail
|
04.01.2013
11,4 Jahre
|
4.259,94 |
+1,38% |
+3,99% |
+4,63% |
+4,07% |
BNP Paribas Mois ISR
FR0007009808
EUR / Acc. / Retail
|
09.04.1997
27,1 Jahre
|
25.440,97 |
+1,38% |
+4,00% |
+4,57% |
+3,81% |
Lyxor Smart Overnight Return
LU1190417599
EUR / Acc. / Retail
|
02.03.2015
9,2 Jahre
|
3.188,89 |
+1,34% |
+3,83% |
+4,48% |
+3,57% |
CM-AM Cash ISR
FR0000979825
EUR / Acc. / Retail
|
02.09.1991
32,7 Jahre
|
13.924,89 |
+1,37% |
+3,95% |
+4,47% |
+3,80% |
AXA IM Euro Liquidity SRI
FR0000978371
EUR / Acc. / Retail
|
07.09.2001
22,7 Jahre
|
9.714,49 |
+1,36% |
+3,99% |
+4,46% |
+3,69% |
Amundi Euro Liquidity SRI
FR0010251660
EUR / Acc. / Retail
|
01.12.2005
18,5 Jahre
|
54.705,69 |
+1,37% |
+3,95% |
+4,43% |
+3,64% |
Amundi Euro Liquidity-Rated SRI
FR0007038138
EUR / Acc. / Retail
|
26.11.1999
24,5 Jahre
|
34.543,16 |
+1,39% |
+3,96% |
+4,41% |
+3,65% |
BlackRock Institutional Cash Series Euro Ultra Short Bond
IE00BL0BM031
EUR / Acc. / Retail
|
17.04.2020
4,1 Jahre
|
4.723,13 |
+1,40% |
+4,07% |
+4,32% |
+3,39% |
Allianz Euro Cash
LU0052221412
EUR / Dist. / Retail
|
01.08.1994
29,8 Jahre
|
1.494,38 |
+1,33% |
+3,72% |
+4,22% |
+3,42% |
BNP Paribas InstiCash EUR 3M Standard VNAV
LU0423950053
EUR / Acc. / Retail
|
12.05.2009
15,0 Jahre
|
7.498,30 |
+1,37% |
+3,91% |
+4,22% |
+3,50% |