NAV15/11/2024 Chg.-0.0200 Type de rendement Focus sur l'investissement Société de fonds
108.8000EUR -0.02% reinvestment Mixed Fund 3 Banken Generali I. 
     
Chart for 3 Banken Werte Balanced I
  Nom   ISIN Performance Volatilité Ratio de Sharpe
1. KEPLER Vorsorge Mixfonds (IT1) (T) AT0000A37JJ9 +20.36% 4.61% 3.76
2. KEPLER Vorsorge Mixfonds (IT) T AT0000A1A5N5 +20.12% 4.61% 3.71
3. KEPLER Vorsorge Mixfonds T AT0000722640 +19.64% 4.62% 3.60
4. FarSighted Moderate PortFolio T AT0000802608 +14.34% 3.38% 3.35
5. apo Mezzo V DE000A2DP552 +17.95% 4.48% 3.33
6. KEPLER Mix Ausgewogen T AT0000722590 +18.40% 4.80% 3.20
7. Raiffeisenfonds Ertrag RZ T AT0000A1UAP4 +16.82% 4.34% 3.18
8. Sauren Nachhaltig Ausgewogen H LU2480031207 +15.03% 3.77% 3.18
9. Raiffeisen-Portfolio-Balanced RZ T AT0000A1U7N7 +20.51% 5.58% 3.13
10. Portfolio Management AUSGEWOGEN T AT0000707559 +17.83% 4.79% 3.09
...
58. 3 Banken Werte Balanced I AT0000A2WCG3 +17.29% 5.51% 2.59