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108 Fonds Ergebnisse

Name WKN KVG F-Fex
Rating
Morningstar
Rating
FNG
Siegel
1J Perf.
%
5J Perf.
%
10J Perf.
%
Volumen
in Mio.
Brown Advisory US Equity Growth Fund € SI Acc Fonds Brown Adv 3,46 - - 244,89
Brown Advisory US Equity Growth $ P Fonds A1KBZ2 Brown Adv E -0,33 7,76 184,39 244,89
Brown Advisory US Equity Growth € P Hedged Fonds A1KBZ3 Brown Adv E -2,59 -4,25 124,67 244,89
Brown Advisory US Equity Growth SI USD Acc Fonds Brown Adv E 1,30 16,99 - 244,89
Brown Advisory US Equity Growth SI USD Inc Fonds Brown Adv 1,30 17,04 - 244,89
Brown Advisory US Equity Growth € SI Acc Hedged Fonds Brown Adv E -0,92 - - 244,89
Brown Advisory US Flexible Equity Fund C USD Accumulation Fonds A1XFLB Brown Adv C 9,48 55,94 301,71 701,34
Brown Advisory US Flexible Equity Fund Class A EUR Hegded Acc Fonds A1XFLD Brown Adv D 5,88 - - 701,34
Brown Advisory US Flexible Equity Fund Class A CHF Hegded Acc Fonds Brown Adv D 3,49 - - 701,34
Brown Advisory US Flexible Equity Fund Class A GBP Dis Fonds A2DH30 Brown Adv 9,64 - - 701,34
Brown Advisory US Flexible Equity Fund Class B GBP Dis Fonds A2DSYR Brown Adv 12,69 62,29 - 701,34
Brown Advisory US Flexible Equity Fund Class B USD Dis Fonds A2DH34 Brown Adv C 9,21 54,01 - 701,34
Brown Advisory US Flexible Equity Fund Class C GBP Dis Fonds A2DH32 Brown Adv C 12,95 64,36 - 701,34
Brown Advisory US Flexible Equity Fund Class C GBP Hedged Dis Fonds A2PG6Q Brown Adv D 9,04 48,63 - 701,34
Brown Advisory US Flexible Equity Fund Class C USD Dis Fonds A2DH35 Brown Adv C 9,50 55,97 - 701,34
Brown Advisory US Flexible Equity Fund Class M USD Dis Fonds A2DH36 Brown Adv C 9,49 55,99 - 701,34
Brown Advisory US Flexible Equity Fund Class M GBP Dis Fonds A2DH33 Brown Adv C 12,95 64,33 - 701,34
Brown Advisory US Flexible Equity Fund GBP Hedged Cls B Fonds A2DH38 Brown Adv D 8,71 47,06 - 701,34
Brown Advisory US Flexible Equity Fund Dollar Class A Shares Fonds A1XFK9 Brown Adv C 8,40 48,40 264,34 701,34
Brown Advisory US Flexible Equity Fund Dollar Class B Shares Fonds A1XFLA Brown Adv C 9,24 54,08 291,76 701,34