Titel
ISIN
  Ertragstyp
Währung
Fondsgesellschaft Rückn. Preis
Datum
Perf. 3M Perf. 1J Perf. 3J Perf. 5J SR (1J)
Vola. (1J)
 
LBBW Alpha Dynamic
LU0281806165
thesaurierend
EUR
LRI Invest 74,4100
14.05.2024
+3,94% +2,35% +13,48% +32,78% -0,15
10,05%
LBBW Equity Select T
LU0281806751
thesaurierend
EUR
LRI Invest 110,4100
14.05.2024
+1,13% +18,19% +12,09% +47,53% 1,45
9,96%
M.M.Warburg Structured Equity Inv.A...
LU1453514215
ausschüttend
EUR
LRI Invest 100,5500
14.05.2024
+1,76% +6,87% +6,78% +5,73% 2,19
1,4%
NESTOR Australien Fonds B
LU0147784119
thesaurierend
EUR
LRI Invest 327,5100
0:00
+12,53% +5,77% +6,22% +78,95% 0,13
15,27%
Nestor Australien Fonds V
LU1433073951
thesaurierend
EUR
LRI Invest 962,5500
0:00
+12,06% +5,64% +8,51% +83,51% 0,12
15,06%
NESTOR Europa Fonds B
LU0054735948
thesaurierend
EUR
LRI Invest 294,3200
0:00
+2,18% +6,49% -6,54% +33,85% 0,24
11,08%
Nestor Europa Fonds V
LU1433074173
thesaurierend
EUR
LRI Invest 911,8700
0:00
+2,38% +7,02% -5,62% +38,65% 0,29
11,07%
NESTOR Fernost Fonds B
LU0054738967
thesaurierend
EUR
LRI Invest 73,3300
0:00
+1,40% -6,45% -30,36% -28,04% -1,09
9,42%
Nestor Fernost Fonds V
LU1433074256
thesaurierend
EUR
LRI Invest 451,6100
0:00
+1,66% -5,89% -29,38% -25,98% -1,03
9,42%
NESTOR Gold Fonds B
LU0147784465
thesaurierend
EUR
LRI Invest 226,5700
0:00
+44,73% +14,59% +15,21% +165,27% 0,37
29,19%
Nestor Gold Fonds V
LU1433074330
thesaurierend
EUR
LRI Invest 856,0000
0:00
+44,91% +15,22% +17,29% +182,24% 0,39
29,06%
Nordlux Pro Fondsm.-ESG Aktien Glob...
LU2060922031
thesaurierend
EUR
LRI Invest 126,7500
14.05.2024
+4,61% +13,40% +11,22% - 0,85
11,31%
Nordlux Pro Fondsm.-ESG Aktien Glob...
LU2060922387
ausschüttend
EUR
LRI Invest 121,0200
14.05.2024
+4,62% +13,42% +10,97% - 0,85
11,31%
Nordlux Pro Fondsmgmt.-A&M Kennzahl...
LU1508899876
ausschüttend
EUR
LRI Invest 100,1400
14.05.2024
+1,94% +10,43% -7,84% -2,61% 0,48
13,82%
Nordlux Pro Fondsmgmt.-A&M Kennzahl...
LU1508899363
ausschüttend
EUR
LRI Invest 93,2500
14.05.2024
+1,68% +9,30% -10,65% -7,55% 0,40
13,84%
Nordlux Pro Fondsmgmt.-A&M Kennzahl...
LU1679794757
ausschüttend
EUR
LRI Invest 93,8800
14.05.2024
+1,70% +9,41% -10,38% -7,01% 0,41
13,83%
PPF II - Global Infrastructure Netw...
LU1185944797
thesaurierend
CHF
LRI Invest 130,0300
14.05.2024
+5,06% +1,35% +0,32% +4,40% -0,25
10,1%
PPF II - Global Infrastructure Netw...
LU1185944284
ausschüttend
EUR
LRI Invest 130,0700
14.05.2024
+1,57% -0,21% +9,57% +15,97% -0,41
9,75%
PPF II Carnot Efficient Resources B...
LU1296765586
thesaurierend
CHF
LRI Invest 143,8800
14.05.2024
+14,04% +27,85% +9,95% +57,30% 1,97
12,24%
PPF II Carnot Efficient Resources B...
LU1296765230
thesaurierend
EUR
LRI Invest 168,4200
14.05.2024
+10,46% +26,83% +22,84% +81,31% 1,95
11,83%