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1.057 Fonds Ergebnisse

Name WKN KVG F-Fex
Rating
Morningstar
Rating
FNG
Siegel
1J Perf.
%
5J Perf.
%
10J Perf.
%
Volumen
in Mio.
Natixis AM Funds - Ostrum Global MinVol Equity SI/D (EUR) Fonds A1XBXW Natixis Investment Managers International 14,65 45,13 82,29 257,75
Natixis AM Funds - Ostrum SRI Credit Short Duration M/D (EUR) Fonds A1XBW0 Natixis Investment Managers International - - - 371,24
Natixis AM Funds - Ostrum SRI Euro Aggregate G/A (EUR) Fonds Natixis Investment Managers International -2,22 - - 187,52
Natixis AM Funds - Ostrum SRI Euro Aggregate I/A (EUR) Fonds A1XBDH Natixis Investment Managers International E -2,61 -13,83 -8,92 187,52
Natixis AM Funds - Ostrum SRI Euro Aggregate I/D (EUR) Fonds A1XBW8 Natixis Investment Managers International E -2,61 -13,84 -9,18 187,52
Natixis AM Funds - Ostrum SRI Euro Aggregate N/A (EUR) Fonds A2PW4C Natixis Investment Managers International 3,10 -11,56 - 187,52
Natixis AM Funds - Ostrum SRI Euro Aggregate R/A (EUR) Fonds A1XBW9 Natixis Investment Managers International -3,01 -15,60 -11,74 187,52
Natixis AM Funds - Ostrum SRI Euro Aggregate R/D (EUR) Fonds A1XBXA Natixis Investment Managers International -3,03 -15,68 -12,89 187,52
Natixis AM Funds - Ostrum SRI Euro Aggregate RE/A (EUR) Fonds A2H5PM Natixis Investment Managers International -3,61 -18,12 - 187,52
Natixis AM Funds - Ostrum SRI Euro Aggregate RE/D (EUR) Fonds A2N6NZ Natixis Investment Managers International -3,61 -18,12 - 187,52
Natixis AM Funds - Ostrum SRI Euro Aggregate SI/A (EUR) Fonds A2DH1Z Natixis Investment Managers International D -2,31 -12,55 - 187,52
Natixis AM Funds - Ostrum SRI Euro Aggregate SI/D (EUR) Fonds A2N6N0 Natixis Investment Managers International -2,32 -12,55 -6,62 187,52
Natixis AM Funds - Ostrum Total Return Credit I/A (EUR) Fonds A1XBXB Natixis Investment Managers International 0,22 11,22 18,33 28,42
Natixis AM Funds - Ostrum Total Return Credit N-NPF/A (EUR) Fonds Natixis Investment Managers International -0,05 - - 28,42
Natixis AM Funds - OSTRUM Total Return Credit Q/A (EUR) Fonds A1XBXC Natixis Investment Managers International - - - 31,52
Natixis AM Funds - Ostrum Total Return Credit R/A (EUR) Fonds A2PW20 Natixis Investment Managers International -0,28 8,87 13,69 28,42
Natixis AM Funds - Ostrum Total Return Credit RE/A (H-CHF) Fonds Natixis Investment Managers International 0,51 - - 28,42
Natixis AM Funds - Ostrum Total Return Credit RE/A (H-USD) Fonds A2PW2Z Natixis Investment Managers International 3,94 - - 28,42
Natixis AM Funds - OSTRUM Total Return Credit RE/A (EUR) Fonds A2PW21 Natixis Investment Managers International 5,48 - - 31,52
Natixis AM Funds - Ostrum Total Return Credit SI/A (EUR) Fonds A2PW2Y Natixis Investment Managers International 0,37 12,39 20,62 28,42

Information


Die Handels- und Depotfunktionen in diesem Broker Cockpit werden für Finanzinstrumente von der Finanzen.net Zero GmbH als vertraglich gebundener Vermittler der DonauCapital Wertpapier GmbH (§ 3 Abs. 2 WpIG) bereitgestellt; bei Kryptowerten werden die Handels- und Depotfunktionen in diesem Broker Cockpit ausschließlich von der DonauCapital Wertpapier GmbH bereitgestellt. Die Finanzen.net GmbH stellt ausschließlich den technischen Rahmen bereit und ist in die Wertpapier- und Kryptodienstleistung nicht einbezogen.