Amundi Fds.Real Assets Tar.Inc.A2/  LU1883866367  /

Fonds
NAV12/5/2022 Chg.-0.4600 Type of yield Investment Focus Investment company
37.5900EUR -1.21% paying dividend Mixed Fund Amundi Luxembourg 
     
Chart for Amundi Fds.Real Assets Tar.Inc.A2
  Name   ISIN Performance Volatility Sharpe ratio
1. MSF Global Opportunities - WorldSelect LU0288319352 +10.89% 7.06% 1.26
2. Raiffeisen Inflation Shield R A AT0000A0JQT7 +9.75% 7.06% 1.10
3. DWS Fixed Maturity Multi Asset 2025 II LU1179373136 +13.98% 11.89% 1.01
4. IAMF-FLEXIBLE BEHAVIORAL EQUITY LU0211525109 +13.06% 16.21% 0.69
5. Amundi Fds.Pioneer Inc.Op.A2 EUR LU1894681052 +9.83% 9.46% 0.83
6. TBF Attila Global Opportunity Fund I EUR DE000A0YJMM9 +14.72% 19.50% 0.66
7. LBBW Welt im Wandel EUR DE0005326482 +13.50% 17.74% 0.65
8. TBF Attila Global Opportunity Fund R EUR DE000A2JF8J1 +14.00% 19.49% 0.62
9. Wallrich Al Libero DE000A2DTL29 +6.21% 5.98% 0.71
10. Wallrich - Prämienstrategie I LU1148628354 +8.73% 10.34% 0.65
...
13. Amundi Fds.Real Assets Tar.Inc.A2 LU1883866367 +4.30% 10.64% 0.22