KEPLER Growth Aktienfonds T/  AT0000607387  /

Fonds
NAV11/20/2019 Chg.-0.1000 Issue Price / Redemption Price Type of yield Investment Focus Investment company
204.4000EUR -0.05% 213.5900 / 204.4000EUR reinvestment Equity KEPLER-FONDS KAG 
     
Chart for KEPLER Growth Aktienfonds T
  Name   ISIN Performance Volatility Sharpe ratio
1. BL Equities Dividend BI USD H LU1191324448 +20.62% 8.47% 2.48
2. CSIF(Lux)Eq.World M.Volatility QB EUR LU1248309152 +19.57% 8.26% 2.42
3. CSIF(Lux)Eq.World M.Volatility FB EUR LU1419774663 +19.52% 8.27% 2.41
4. BL Equities Dividend B USD H LU0751781666 +19.30% 8.47% 2.33
5. M&G Global Themes Fund C Acc EUR GB0030932783 +22.61% 9.95% 2.31
6. Robeco QI Global Conservative Eq.I EUR LU0705783958 +18.60% 8.48% 2.24
7. Threadneedle(L)Gl.Sm.Comp.F.XE EUR LU0570872340 +29.51% 13.40% 2.23
8. Nordea 1 Gl.Opportunity Fd.BI NOK Acc LU0985313948 +31.31% 14.18% 2.24
9. KEPLER Risk Select Aktienfonds T AT0000A0NUW5 +16.01% 7.24% 2.27
10. M&G Global Themes Fund A Acc EUR GB0030932676 +21.40% 9.95% 2.19
...
783. KEPLER Growth Aktienfonds T AT0000607387 +15.24% 11.72% 1.33