|
Name
|
Auflagedatum
|
Volumen
|
YTD-P
|
1-Y-P
|
3-Y-P
|
5-Y-P
|
|
Patriarch Vermögensmanagement
LU0219307419
EUR / Dist. / Retail
|
01.09.2005
20,8 Jahre
|
5,14 |
+3,88% |
+11,14% |
+23,77% |
+9,06% |
|
Mediolanum Best Brands - Mediolanum Diversified Multi Asset Strategy
IE00B95WD600
EUR / Acc. / Retail
|
13.06.2013
13,0 Jahre
|
327,34 |
+2,66% |
+11,44% |
+22,94% |
+8,57% |
|
WBS Hünicke Multi Asset Strategy
DE000A2JF8S2
EUR / Acc. / Retail
|
01.08.2018
7,9 Jahre
|
7,88 |
+3,67% |
+10,77% |
+12,04% |
+8,57% |
|
RL&C – Connor
LU0804306552
EUR / Dist. / Retail
|
29.08.2012
13,8 Jahre
|
15,97 |
+1,17% |
+11,72% |
+27,71% |
+8,19% |
|
Oddo BHF Polaris Flexible
LU0319572730
EUR / Dist. / Retail
|
10.10.2007
18,7 Jahre
|
483,19 |
-0,24% |
+3,81% |
+12,12% |
+8,10% |
|
HWB InvestWorld-International Portfolio
LU0119626454
EUR / Acc. / Retail
|
19.12.2000
25,5 Jahre
|
29,45 |
+6,05% |
+10,97% |
+28,61% |
+8,01% |
|
SICAV Portfolio – Skyliner
FR0011440460
EUR / Acc. / Retail
|
12.04.2013
13,2 Jahre
|
15,11 |
-0,15% |
+6,43% |
+23,60% |
+8,01% |
|
SmartSelection Global Ausgeglichene Strategie
AT0000A1PDV6
EUR / Dist. / Retail
|
16.01.2017
9,4 Jahre
|
79,83 |
+1,07% |
+6,82% |
+16,60% |
+8,01% |
|
Morgan Stanley Investment Funds - Global Balanced Risk Control Fund of Funds
LU0694238501
EUR / Acc. / Retail
|
02.11.2011
14,6 Jahre
|
2.012,61 |
+1,43% |
+9,62% |
+22,59% |
+7,95% |
|
Pfalz Invest
DE000A2PR6U0
EUR / Dist. / Retail
|
09.11.2020
5,6 Jahre
|
44,62 |
+0,02% |
+5,77% |
+14,85% |
+7,60% |