Voba Pforzheim Premium R Fonds UI I/  DE000A0M80S9  /

Fonds
NAV10/14/2021 Chg.+1.8500 Type of yield Investment Focus Investment company
1,230.2600EUR +0.15% paying dividend Mixed Fund Universal-Investment 
     
Chart for Voba Pforzheim Premium R Fonds UI I
  Name   ISIN Performance Volatility Sharpe ratio
1. SK Invest Konservativ C LU2045768400 +4.78% 1.46% 3.65
2. ABD.St.S.I-D.I.I USD Dis LU1124235752 +12.88% 3.68% 3.65
3. SK Invest Konservativ A LU0328541502 +4.73% 1.46% 3.62
4. Raiffeisen Inflation Shield R A AT0000A0JQT7 +13.17% 3.80% 3.61
5. Sauren Global Defensiv D LU0313459959 +7.45% 2.23% 3.59
6. Sauren Absolute Return H LU0499183050 +11.20% 3.28% 3.58
7. SMS Ars Multiplex DE000A1CXUY2 +13.50% 3.93% 3.57
8. Sauren Absolute Return D LU0454071019 +10.79% 3.28% 3.46
9. ABD.St.S.I-D.I.A USD Dis LU1488356327 +12.16% 3.68% 3.46
10. ABD.St.S.I-D.I.A USD Dis LU1124234862 +12.17% 3.68% 3.46
...
218. Voba Pforzheim Premium R Fonds UI I DE000A0M80S9 +3.65% 1.90% 2.21