NAV01/08/2024 Chg.-1.2600 Type de rendement Focus sur l'investissement Société de fonds
144.0700EUR -0.87% paying dividend Mixed Fund Axxion 
     
Chart for Frankfurter Aktienfonds für Stiftungen - TI
  Nom   ISIN Performance Volatilité Ratio de Sharpe
1. Vermögenswerte Global VV I DE000A2P5B80 +17.78% 6.49% 2.18
2. Vermögenswerte Global VV R DE000A2P5B72 +16.61% 6.48% 2.00
3. Vermögenswerte Global VV D DE000A2QAHM0 +16.61% 6.48% 2.00
4. UNIQA World Selection A AT0000743281 +17.25% 6.81% 2.00
5. FG&W Fund - Global Oppor2nities EUR LU0143329109 +16.26% 6.54% 1.93
6. KEPLER Ethik Mix Dynamisch (A) AT0000A2RJ45 +16.22% 6.76% 1.86
7. Allianz Strategiefonds Wachstum - I - EUR DE000A14N9S1 +18.90% 8.27% 1.84
8. Lakeview Fund AT0000A1J2C6 +15.39% 6.44% 1.82
9. Raiffeisen-Portfolio-Growth RZ A AT0000A279C8 +16.15% 6.97% 1.79
10. Raiffeisenfonds-Wachstum RZ A AT0000A1UAW0 +13.41% 5.50% 1.78
...
451. Frankfurter Aktienfonds für Stiftungen - TI DE000A12BPP4 +2.61% 9.77% -0.11