Publikumsfonds

Fondselektor
Fonds
ISIN
Zulassungen
Wert
1 Tag
YTD
1 Jahr
3 Jahre
Stand

ACATIS Aktien Global Value Fonds (T)

AT0000A0KR36
AT
186,35 EUR
0,42%
25,12%
16,79%
8,29%
12. Dez. 2019

ACATIS Value und Dividende (A)

AT0000A146T3
AT, DE
146,14 EUR
0,58%
21,72%
16,24%
8,12%
12. Dez. 2019

Aktienstrategie global (R) (T)

AT0000817945
AT, DE
16,69 EUR
0,24%
23,75%
16,27%
7,89%
12. Dez. 2019

Aktienstrategie global (I) (T)

AT0000A0Q768
AT, DE
17.215,51 EUR
0,25%
25,23%
17,72%
9,25%
12. Dez. 2019

DJE Golden Wave (T)

AT0000675707
AT
253,88 EUR
0,15%
18,08%
13,74%
6,69%
12. Dez. 2019

European ABS Fund (A)

AT0000648589
AT, DE, LU
99.634,21 EUR
0,02%
1,88%
1,80%
4,99%
12. Dez. 2019

fair-finance bond opportunities (I) (A)

AT0000A1Z6M6
AT
98,78 EUR
0,06%
5,39%
4,95%
12. Dez. 2019

fair-finance bond opportunities (R) (A)

AT0000A1Z6L8
AT
98,77 EUR
0,06%
5,44%
5,00%
12. Dez. 2019

fair-finance bond (I) (A)

AT0000A0Z7X2
AT
120,82 EUR
-0,17%
6,12%
6,38%
1,92%
12. Dez. 2019

fair-finance bond (R) (A)

AT0000A0Z7W4
AT
108,52 EUR
-0,17%
6,13%
6,38%
1,77%
12. Dez. 2019

fair-finance equity global (I) (T)

AT0000A1EZU5
AT
1.227,78 EUR
0,29%
24,93%
22,73%
9,62%
12. Dez. 2019

fair-finance equity global (R) (T)

AT0000A1Z7G6
AT
115,49 EUR
0,30%
24,94%
22,72%
12. Dez. 2019

fair-finance multi assets stable (I) (A)

AT0000A1Z6K0
AT
103,67 EUR
0,04%
7,20%
6,90%
12. Dez. 2019

fair-finance multi assets stable (R) (A)

AT0000A1Z6J2
AT
103,05 EUR
0,04%
6,84%
6,53%
12. Dez. 2019

Faktorstrategie Aktien Global (R) (T)

AT0000A1VNX9
AT, DE
11,97 EUR
0,50%
27,27%
19,19%
12. Dez. 2019

Faktorstrategie Aktien Global (I) (T)

AT0000A1VNW1
AT, DE
12.158,03 EUR
0,48%
28,28%
20,08%
12. Dez. 2019

Faktorstrategie Anleihen Global (R) (T)

AT0000A1VNZ4
AT, DE
10,31 EUR
0,00%
5,26%
5,36%
12. Dez. 2019

Faktorstrategie Anleihen Global (I) (T)

AT0000A1VNY7
AT, DE
10.371,28 EUR
-0,08%
5,50%
5,66%
12. Dez. 2019

HYPO CORPORATE BOND FUND (A)

AT0000701180
AT
9,93 EUR
-0,20%
6,60%
6,71%
2,03%
12. Dez. 2019

HYPO CORPORATE BOND FUND (T)

AT0000701198
AT
15,99 EUR
-0,12%
6,60%
6,74%
2,12%
12. Dez. 2019

Hypo Dynamik Plus (R) (T)

AT0000A0S9Q1
AT, DE
150,82 EUR
0,27%
14,09%
11,90%
4,15%
12. Dez. 2019

Hypo Global Balanced (A)

AT0000713474
AT
87,98 EUR
0,08%
10,45%
7,72%
1,70%
12. Dez. 2019

Hypo Global Balanced (T)

AT0000713482
AT
109,24 EUR
0,08%
10,46%
7,72%
1,71%
12. Dez. 2019

Hypo Mündel Fonds (A)

AT0000A0KQP3
AT
9,23 EUR
-0,11%
0,87%
1,21%
0,00%
12. Dez. 2019

Hypo Mündel Fonds (T)

AT0000A0KQQ1
AT
10,20 EUR
-0,10%
0,89%
1,19%
0,02%
12. Dez. 2019

Hypo PF Absolute Return (A)

AT0000A19X78
AT, DE
109,05 EUR
0,06%
12,52%
8,78%
2,25%
12. Dez. 2019

Hypo PF Absolute Return (T)

AT0000A19X86
AT, DE
109,65 EUR
0,05%
12,52%
8,78%
2,25%
12. Dez. 2019

Hypo PF Ausgewogen (A)

AT0000814975
AT, DE
88,03 EUR
0,00%
9,85%
7,60%
2,60%
12. Dez. 2019

Hypo PF Ausgewogen (T)

AT0000611132
AT, DE
104,53 EUR
0,00%
9,86%
7,60%
2,59%
12. Dez. 2019

Hypo PF EUR Anleihen Kurzläufer (R) (T)

AT0000A09G30
AT, DE
52,55 EUR
0,00%
0,27%
0,31%
-0,85%
12. Dez. 2019

Hypo PF EUR Anleihen Kurzläufer (I) (T)

AT0000A2AHN4
AT, DE
999,72 EUR
-0,01%
12. Dez. 2019

Hypo PF Kapitalgewinn (A)

AT0000A08AD2
AT, DE
68,19 EUR
0,31%
24,56%
18,05%
7,41%
12. Dez. 2019

Hypo PF Kapitalgewinn (T)

AT0000A08AE0
AT, DE
68,87 EUR
0,31%
24,56%
18,04%
7,41%
12. Dez. 2019

Hypo PF Zinsertrag (R) (A)

AT0000857529
AT, DE
60,97 EUR
-0,20%
1,87%
1,91%
-1,08%
12. Dez. 2019

Hypo PF Zinsertrag (I) (T)

AT0000A2AHM6
AT, DE
996,40 EUR
-0,20%
12. Dez. 2019

Hypo PF Zinsertrag (R) (T)

AT0000611124
AT, DE
81,23 EUR
-0,20%
1,87%
1,91%
-1,08%
12. Dez. 2019

HYPO Rendite Plus (A)

AT0000A0JP56
AT, DE
13,12 EUR
-0,08%
5,58%
5,74%
2,31%
12. Dez. 2019

HYPO Rendite Plus (VT)

AT0000633086
AT, DE
16,14 EUR
-0,12%
5,49%
5,70%
2,29%
12. Dez. 2019

HYPO Rendite Plus (T)

AT0000633078
AT, DE
14,32 EUR
-0,07%
5,55%
5,70%
2,31%
12. Dez. 2019

Hypo Tirol Fonds ausgewogen (T)

AT0000713466
AT
15,03 EUR
0,27%
14,07%
10,24%
3,73%
12. Dez. 2019

Hypo Tirol Fonds dynamisch (T)

AT0000713441
AT
14,17 EUR
0,28%
17,96%
12,74%
4,72%
12. Dez. 2019

Hypo Tirol Fonds stabil (T)

AT0000713458
AT
14,46 EUR
0,07%
10,05%
7,52%
1,92%
12. Dez. 2019

Hypo Value Momentum Aktien (R) (T)

AT0000A268L2
AT, DE
107,78 EUR
0,27%
12. Dez. 2019

Hypo Value Momentum Aktien (I) (T)

AT0000A2AKU3
AT, DE
1.020,14 EUR
0,27%
12. Dez. 2019

Hypo Vermögensmanagement 100 (T)

AT0000A0RGL8
AT
15.866,39 EUR
-0,04%
17,99%
12,02%
5,22%
12. Dez. 2019

Hypo Vermögensmanagement 30 (T)

AT0000A0RGJ2
AT
12.732,52 EUR
-0,04%
9,26%
7,23%
2,43%
12. Dez. 2019

Hypo Vermögensmanagement 60 (T)

AT0000A0RGK0
AT
14.174,67 EUR
-0,05%
13,42%
9,44%
3,84%
12. Dez. 2019

HYPO VORARLBERG SELEKTION BALANCED (I) (T)

AT0000A2AX20
AT
100,30 EUR
-0,01%
12. Dez. 2019

HYPO VORARLBERG SELEKTION DEFENSIV (I) (T)

AT0000A2AX12
AT
99,93 EUR
-0,07%
12. Dez. 2019

HYPO VORARLBERG SELEKTION OFFENSIV (I) (T)

AT0000A2AX38
AT
100,69 EUR
0,02%
12. Dez. 2019

Hypo-Europa-Bond (A)

AT0000857545
AT
69,98 EUR
-0,10%
1,19%
1,30%
-0,36%
12. Dez. 2019

Hypo-Europa-Bond (T)

AT0000611140
AT
91,36 EUR
-0,10%
1,17%
1,30%
-0,37%
12. Dez. 2019

HYPO-INVEST (A)

AT0000857511
AT
55,32 EUR
0,20%
11,62%
9,90%
3,46%
12. Dez. 2019

HYPO-RENT (A)

AT0000857503
AT, DE
7,74 EUR
-0,13%
1,18%
1,31%
0,26%
12. Dez. 2019

HYPO-RENT (T)

AT0000611157
AT, DE
10,16 EUR
-0,10%
1,20%
1,32%
0,22%
12. Dez. 2019

HYPO-STAR "dynamisch" (A)

AT0000722764
AT
149,02 EUR
0,59%
25,08%
17,68%
7,38%
12. Dez. 2019

HYPO-STAR "dynamisch" (T)

AT0000722772
AT
170,17 EUR
0,60%
25,08%
17,68%
7,38%
12. Dez. 2019

Hypo-Weltportfolio Aktien (I1) (T)

AT0000708318
AT, DE
18.626,19 EUR
0,33%
27,25%
20,17%
9,30%
12. Dez. 2019

Hypo-Weltportfolio Aktien (I2) (T)

AT0000A2AHL8
AT, DE
1.051,90 EUR
0,33%
12. Dez. 2019

KCM Aktien Global SRI (R) (T)

AT0000A0V6J7
AT, DE
214,86 EUR
0,32%
28,66%
21,65%
9,66%
12. Dez. 2019

KCM Aktien Global SRI (I) (T)

AT0000A0V6K5
AT, DE
22.611,13 EUR
0,32%
29,61%
22,60%
10,51%
12. Dez. 2019

KCM Bond Select (R) (A)

AT0000736384
AT, DE
86,17 EUR
-0,06%
7,67%
7,78%
2,37%
12. Dez. 2019

KCM Bond Select (I) (T)

AT0000A11418
AT, DE
12.111,13 EUR
-0,06%
7,95%
8,06%
2,66%
12. Dez. 2019

KCM Dynamic Value (A)

AT0000620240
AT
850,73 EUR
0,09%
10,02%
9,31%
3,31%
12. Dez. 2019

KCM Emerging Market Pearls (R) (T)

AT0000A0XD45
AT
122,39 EUR
0,04%
9,53%
10,02%
3,13%
12. Dez. 2019

KCM Emerging Market Pearls (I) (A)

AT0000A0XD52
AT
10.518,36 EUR
0,04%
10,22%
10,73%
3,82%
12. Dez. 2019

KCM Kathrein Pfandbrief + (R) (T)

AT0000A0W4C6
AT
111,77 EUR
-0,13%
2,51%
2,83%
1,06%
12. Dez. 2019

KCM Kathrein Pfandbrief + (I) (A)

AT0000A0W4D4
AT
10.685,56 EUR
-0,12%
2,55%
2,87%
1,12%
12. Dez. 2019

KCM SRI Bond Classic (I) (A)

AT0000A20CF8
AT
103,20 EUR
-0,04%
4,17%
4,49%
12. Dez. 2019

KCM SRI Bond Select (I) (T)

AT0000A1PY31
AT
106,74 EUR
-0,06%
6,98%
6,93%
12. Dez. 2019

MI Multi Strategy SRI (R) (A)

AT0000506175
AT
105,45 EUR
0,06%
5,71%
5,40%
1,95%
12. Dez. 2019

MI Multi Strategy SRI (I) (A)

AT0000A0UB24
AT
101,01 EUR
0,05%
5,64%
5,32%
1,82%
12. Dez. 2019

MI Multi Strategy SRI (R) (T)

AT0000617105
AT
138,10 EUR
0,06%
5,84%
5,52%
1,98%
12. Dez. 2019

NÖ HYPO AUSGEWOGEN (A)

AT0000708151
AT
109,53 EUR
0,11%
8,82%
7,93%
2,14%
12. Dez. 2019

NÖ HYPO WACHSTUM (A)

AT0000708177
AT
121,56 EUR
0,27%
17,11%
13,55%
4,74%
12. Dez. 2019

StrategieInvest Dynamic (VT)

AT0000A02X77
AT, DE
98,45 EUR
0,44%
9,22%
5,51%
0,03%
12. Dez. 2019

Tri Style Fund (T)

AT0000701164
AT, DE
15,77 EUR
0,45%
14,33%
11,26%
4,91%
12. Dez. 2019

Tri Style Fund (VT)

AT0000701172
AT, DE
16,81 EUR
0,48%
14,35%
11,32%
4,91%
12. Dez. 2019

Valuedo Global Equity (R) (T)

AT0000A1Z031
AT
EUR

Valuedo Global Equity (I) (T)

AT0000A1Z049
AT
93,52 EUR
0,36%
12,66%
8,20%
12. Dez. 2019

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