Name
ISIN
  Type of yield
Currency
Investment company Repurchase p.
Date
Perf. 3M Perf. 1Y Perf. 3Y Perf. 5Y SR (1Y)
Vola. (1Y)
 
ZinsPlus Fonds UI
DE000A0X7590
reinvestment
EUR
Universal-Investment 150.7600
2024-05-06
+0.91% +6.39% -1.90% +0.96% 1.14
2.25%
Zindstein Werte-Sammler P
DE000A2DHUA1
paying dividend
EUR
Universal-Investment 49.8300
2024-05-06
+2.68% +2.43% -6.44% +7.35% -0.13
11.24%
Zindstein Werte-Sammler I
DE000A2DHUB9
paying dividend
EUR
Universal-Investment 101.8200
2024-05-06
+2.79% +2.88% -5.08% +8.21% -0.09
11.23%
WoWiVermögen A
DE000A2QCXC4
paying dividend
EUR
Universal-Investment 931.5300
2024-05-06
+0.71% +5.33% -6.76% - 0.56
2.68%
WoWiVermögen - Anteilklasse P
DE000A3D05A7
paying dividend
EUR
Universal-Investment 105.3100
2024-05-06
+0.60% +4.67% - - 0.32
2.67%
World Market Fund I
DE000A2DKRG8
reinvestment
EUR
Universal-Investment 140.2400
2024-05-06
+2.02% +10.83% +12.93% +32.70% 0.87
8.05%
World Market Fund - Anteilklasse R
DE000A1CS5F8
reinvestment
EUR
Universal-Investment 195.3800
2024-05-06
+2.03% +10.83% +12.95% +32.72% 0.87
8.05%
Wealth Advisory Systemic Income Fun...
DE000A3E18S0
reinvestment
EUR
Universal-Investment 101.3300
2024-05-06
+1.33% - - - -
-
WAVE Total Return ESG - Anteilklass...
DE000A0MU8A8
paying dividend
EUR
Universal-Investment 54.0200
2024-05-06
+2.23% +6.02% +6.97% +14.61% 0.83
2.66%
WAVE Total Return ESG - Anteilklass...
DE000A0MU8D2
paying dividend
EUR
Universal-Investment 56.2700
2024-05-06
+2.38% +6.56% +9.03% +17.56% 1.04
2.64%
WACHSTUM GLOBAL - Anteilklasse R
DE000A12BPS8
paying dividend
EUR
Universal-Investment 68.1100
2024-05-06
+3.37% +8.69% +10.74% +27.52% 1.00
4.9%
WACHSTUM GLOBAL - Anteilklasse I
DE000A0NJGU7
paying dividend
EUR
Universal-Investment 99.8900
2024-05-06
+3.29% +8.86% +11.83% +28.62% 1.03
4.89%
Wachstum Defensiv - Anteilklasse R
DE000A0Q86B3
paying dividend
EUR
Universal-Investment 124.6300
2024-05-06
+1.62% +5.20% +2.51% +9.36% 0.54
2.53%
Wachstum Defensiv - Anteilklasse I
DE000A0Q86C1
paying dividend
EUR
Universal-Investment 133.1900
2024-05-06
+1.70% +5.61% +3.50% +11.81% 0.71
2.53%
VR Bank Kitzingen eG Euro Control n...
DE0009789875
paying dividend
EUR
Universal-Investment 39.3500
2024-05-06
+5.30% +2.75% -0.67% -1.48% -0.23
4.79%
Voba pur Premium R Fonds UI - Antei...
DE000A0M8WY7
paying dividend
EUR
Universal-Investment 45.7300
2024-05-06
+0.77% +6.85% -2.53% +4.56% 1.13
2.69%
Voba pur Premium R Fonds UI - Antei...
DE000A0M80S9
paying dividend
EUR
Universal-Investment 1,154.4700
2024-05-06
+0.82% +7.06% -2.06% +5.70% 1.21
2.67%
Voba pur Premium A Fonds UI - Antei...
DE000A0M8WZ4
paying dividend
EUR
Universal-Investment 71.6800
2024-05-06
+0.97% +16.69% +8.10% +33.65% 1.41
9.18%
Voba pur Premium A Fonds UI - Antei...
DE000A0M80R1
paying dividend
EUR
Universal-Investment 1,543.5100
2024-05-06
+0.89% +16.84% +8.74% +36.43% 1.44
9.1%
Vermögensmandat Strategie Wachstum
DE000A1110F2
reinvestment
EUR
Universal-Investment 113.9400
2024-05-06
+2.77% +9.42% +3.17% +8.65% 1.04
5.42%
* Too many results found, please restrict the search by using the filter options.