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2.833 Fonds Ergebnisse

Name WKN KVG F-Fex
Rating
Morningstar
Rating
FNG
Siegel
1J Perf.
%
5J Perf.
%
10J Perf.
%
Volumen
in Mio.
BlackRock Global Funds - US Growth Fund D2 Fonds A1J4Q4 BlackRock D 16,26 58,70 370,87 419,82
BlackRock Global Funds - US Growth Fund D4 Fonds A1WZMX BlackRock D 19,35 66,30 354,01 419,82
BlackRock Global Funds - US Growth Fund E2 Fonds 622716 BlackRock D 14,80 49,07 315,48 419,82
BlackRock Global Funds - US Growth Fund E2 Fonds A0PHB5 BlackRock D 14,80 49,07 315,48 419,82
BlackRock Global Funds - US Growth Fund I2 Fonds A2ASH1 BlackRock 16,55 60,75 - 419,82
BlackRock Global Funds - US Growth Fund A2 Fonds 921822 BlackRock D 15,37 52,82 336,61 419,82
BlackRock Global Funds - US Growth Fund A2 Fonds A0BL2F BlackRock D 15,37 52,82 336,61 419,82
BlackRock Global Funds - US Growth Fund A2 EUR Hedged Fonds A1W02V BlackRock D 12,69 35,86 248,59 419,82
BlackRock Global Funds - US Mid-Cap Value Fund A2 AUD Hedged Fonds A1XDRT BlackRock D 18,95 32,87 129,99 299,84
BlackRock Global Funds - US Mid-Cap Value Fund C2 Fonds 622631 BlackRock C 17,85 35,69 133,33 299,84
BlackRock Global Funds - US Mid-Cap Value Fund D2 Fonds A1J4Q5 BlackRock C 20,21 49,96 184,93 299,84
BlackRock Global Funds - US Mid-Cap Value Fund E2 Fonds 988779 BlackRock C 18,73 40,87 151,48 299,84
BlackRock Global Funds - US Mid-Cap Value Fund E2 Fonds A0NHA7 BlackRock C 18,73 40,87 151,48 299,84
BlackRock Global Funds - US Mid-Cap Value Fund I2 Fonds A2H62A BlackRock C 23,75 59,28 - 299,84
BlackRock Global Funds - US Mid-Cap Value Fund A2 Fonds 971044 BlackRock C 19,32 44,44 164,39 299,84
BlackRock Global Funds - US Mid-Cap Value Fund A2 Fonds A0BL2K BlackRock C 19,32 44,44 164,39 299,84
BlackRock Global Funds - US Mid-Cap Value Fund D2 Fonds A0PHB7 BlackRock C 20,21 49,96 184,93 299,84
BlackRock Global Funds - World Bond Fund A1 Fonds 972896 BlackRock D 3,18 -0,75 14,75 812,95
BlackRock Global Funds - World Bond Fund A2 SGD Hedged Fonds BlackRock 0,39 - - 812,95
BlackRock Global Funds - World Bond Fund A3 Fonds A0BL4L BlackRock D 3,17 -0,57 14,99 812,95