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225 Fonds Ergebnisse

Name WKN KVG F-Fex
Rating
Morningstar
Rating
FNG
Siegel
1J Perf.
%
5J Perf.
%
10J Perf.
%
Volumen
in Mio.
Mirabaud - Equities Swiss Small & Mid Z CHF Acc Fonds A1JHAE Mirabaud Asset Management -0,72 21,27 - 330,23
Mirabaud - Global Climate Bond Fund A EUR Acc Fonds Mirabaud Asset Management 10,39 - - 47,5
Mirabaud - Global Climate Bond Fund I EUR Acc Fonds Mirabaud Asset Management 3,56 - - 38,4
Mirabaud - Global Climate Bond Fund IH USD Acc Fonds Mirabaud Asset Management 5,42 - - 38,4
Mirabaud - Global Climate Bond Fund IH GBP Acc Fonds Mirabaud Asset Management 5,26 - - 38,4
Mirabaud - Global Climate Bond Fund IH CHF Acc Fonds Mirabaud Asset Management 1,00 - - 38,4
Mirabaud - Global Climate Bond Fund N EUR Acc Fonds Mirabaud Asset Management 3,48 - - 38,4
Mirabaud - Global Climate Bond Fund N EUR Inc Fonds Mirabaud Asset Management 3,48 - - 38,4
Mirabaud - Global Climate Bond Fund NH USD Acc Fonds Mirabaud Asset Management 5,33 - - 38,4
Mirabaud - Global Climate Bond Fund NH CHF Acc Fonds Mirabaud Asset Management 0,92 - - 38,4
Mirabaud - Global Climate Bond Fund S1 EUR Acc Fonds Mirabaud Asset Management 3,87 - - 38,4
Mirabaud - Global Climate Bond Fund S2 EUR Acc Fonds Mirabaud Asset Management 3,97 - - 38,4
Mirabaud - Global Dividend A USD Acc Fonds A117Y8 Mirabaud Asset Management 10,53 55,50 78,50 59,91
Mirabaud - Global Dividend A USD Inc Fonds A12EY0 Mirabaud Asset Management 10,53 55,52 78,47 59,91
Mirabaud - Global Dividend A EUR Acc Fonds A117Y6 Mirabaud Asset Management 2,34 51,87 73,97 59,91
Mirabaud - Global Dividend A EUR Inc Fonds A12EYY Mirabaud Asset Management 2,34 51,88 73,95 59,91
Mirabaud - Global Dividend A GBP Inc Fonds A12EYZ Mirabaud Asset Management 3,12 43,96 104,33 59,91
Mirabaud - Global Dividend A CHF Acc Fonds A117Y5 Mirabaud Asset Management 0,80 32,93 54,97 59,91
Mirabaud - Global Dividend A CHF Inc Fonds A12EYX Mirabaud Asset Management 15,39 23,19 60,54 59,91
Mirabaud - Global Dividend D GBP Acc Fonds A12EY1 Mirabaud Asset Management 4,05 50,44 121,75 59,91