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1.183 Fonds Ergebnisse

Name WKN KVG F-Fex
Rating
Morningstar
Rating
FNG
Siegel
1J Perf.
%
5J Perf.
%
10J Perf.
%
Volumen
in Mio.
UBAM - EUR Floating Rate Notes UHD CHF Fonds UBP Asset Management -0,29 - - 354,87
UBAM - EUR Floating Rate Notes UHD USD Fonds UBP Asset Management 1,77 - - 354,87
UBAM - EUR Floating Rate Notes ZC EUR Fonds A3CYQY UBP Asset Management 2,55 - - 387,32
UBAM - USD Floating Rate Notes ZC USD Fonds A3ES9X UBP Asset Management - - - 1338,21
UBAM - Global Convertible Bond AC EUR Fonds A113CR UBP Asset Management C 30,78 13,25 64,13 230,81
UBAM - Global Convertible Bond AD EUR Fonds A12B1V UBP Asset Management C 30,77 13,25 - 230,81
UBAM - Global Convertible Bond AHC CHF Fonds A113CS UBP Asset Management C 27,32 2,04 42,06 230,81
UBAM - Global Convertible Bond AHC USD Fonds A113CT UBP Asset Management B 33,11 22,90 93,99 230,81
UBAM - Global Convertible Bond AHC GBP Fonds A113CU UBP Asset Management B 32,67 18,86 75,08 230,81
UBAM - Global Convertible Bond AHC SEK Fonds UBP Asset Management 29,77 - - 230,81
UBAM - Global Convertible Bond AHD USD Fonds A2P077 UBP Asset Management 33,12 22,91 - 230,81
UBAM - Global Convertible Bond AHD GBP Fonds A2P074 UBP Asset Management 32,67 18,86 - 230,81
UBAM - Global Convertible Bond IC EUR Fonds A1W6TG UBP Asset Management C 31,52 16,44 73,11 230,81
UBAM - Global Convertible Bond I+C EUR Fonds A3C7ZT UBP Asset Management 8,49 - - 230,81
UBAM - Global Convertible Bond ID EUR Fonds A12B1W UBP Asset Management C 31,52 16,47 73,15 230,81
UBAM - Global Convertible Bond IH CHF Fonds A3ESGD UBP Asset Management 28,03 - - 230,81
UBAM - Global Convertible Bond IH GBP Fonds A2P073 UBP Asset Management -2,07 - - 230,81
UBAM - Global Convertible Bond IHC CHF Fonds A2PD13 UBP Asset Management C 28,04 4,93 49,90 230,81
UBAM - Global Convertible Bond IHC USD Fonds A2PD12 UBP Asset Management B 33,86 26,38 104,70 230,81
UBAM - Global Convertible Bond IHC GBP Fonds A2P5YB UBP Asset Management 39,03 25,90 - 230,81