Nombre
ISIN
  Tipo de beneficio
Divisa
Sociedad de fondos Prec. de rescate
Fecha
Rendimiento 3 meses Rendimiento 1 año Rendimiento 3 años Rendimiento 5 años SR (1A)
Volatilidad (1A)
 
FUNDament Total Return P
DE000A2H5YB2
paying dividend
EUR
Axxion 135.8700
05/09/2024
+3.77% -11.45% -7.78% +37.48% -0.64
23.12%
FUNDament Total Return I
DE000A2H8901
paying dividend
EUR
Axxion 142.9400
05/09/2024
+3.88% -11.09% -6.31% +42.22% -0.63
23.13%
MULTI-AXXION EUROPA B
LU1221107615
reinvestment
EUR
Axxion 143.4700
05/09/2024
-3.61% -5.01% -18.46% +21.19% -1.02
8.26%
DCP - Equity Income - P
LU1112680704
paying dividend
CHF
Axxion 118.8600
05/09/2024
-0.79% -4.71% -5.69% +13.16% -1.17
6.97%
ofg PORTFOLIO - Select
LU0381992006
paying dividend
EUR
Axxion 185.7000
05/09/2024
-2.58% -4.31% -24.68% +1.09% -1.00
7.76%
MULTI-AXXION EUROPA C
LU2211771691
reinvestment
EUR
Axxion 57.0600
04/09/2024
-3.81% -3.92% -14.96% - -0.90
8.21%
Global Triple Income Fund - N
DE000A3D8151
paying dividend
EUR
Axxion 99.6500
05/09/2024
-5.34% -2.74% - - -0.37
16.64%
MULTI-AXXION EUROPA A
LU0138526776
reinvestment
EUR
Axxion 323.0000
04/09/2024
-3.41% -1.88% -12.54% +39.10% -0.63
8.43%
TOP VERMÖGEN FUNDS - SELECT
LU0309011343
paying dividend
EUR
Axxion 49.3800
05/09/2024
-1.20% -1.26% -18.14% -6.17% -1.09
4.31%
SQUAD - Special Situations A
LU1748456891
paying dividend
EUR
Axxion 92.7900
0:00
-1.50% -0.74% -12.56% -0.26% -1.23
3.4%
Frankfurter Aktienfonds f.Stiftunge...
DE000A2N66D4
reinvestment
CHF
Axxion 110.0800
05/09/2024
-2.02% -0.69% -12.45% +14.60% -0.41
10.23%
SQUAD - Special Situations X
LU1685651785
paying dividend
EUR
Axxion 94.1700
0:00
-1.50% -0.36% -11.26% +2.02% -1.12
3.41%
Frankfurter Aktienfonds für Stiftun...
DE000A1JSWP1
paying dividend
EUR
Axxion 112.2800
05/09/2024
-1.41% +1.48% -8.77% +19.42% -0.19
10.27%
Frankfurter Aktienfonds f.Stiftunge...
DE000A2N5MA1
reinvestment
EUR
Axxion 111.7700
05/09/2024
-1.42% +1.50% -9.26% +21.52% -0.19
10.27%
Frankfurter Aktienfonds für Stiftun...
DE000A0M8HD2
paying dividend
EUR
Axxion 138.6100
05/09/2024
-1.42% +1.50% -8.87% +19.35% -0.19
10.27%
GANADOR Spirit VISOM R
LU1311442880
reinvestment
EUR
Axxion 136.5100
05/09/2024
-4.09% +1.63% -8.96% +25.63% -0.20
9.27%
Frankfurter Aktienfonds für Stiftun...
DE000A12BPQ2
paying dividend
EUR
Axxion 107.4300
05/09/2024
-1.33% +1.79% -7.97% +21.10% -0.16
10.27%
Frankfurter Aktienfonds für Stiftun...
DE000A12BPP4
paying dividend
EUR
Axxion 142.1900
05/09/2024
-1.34% +1.80% -7.91% +20.95% -0.16
10.27%
Frankfurter Aktienfonds f.Stiftunge...
DE000A2JJ222
paying dividend
EUR
Axxion 93,345.8594
05/09/2024
-1.34% +1.84% -7.81% +21.37% -0.16
10.27%
GFS Strategic IV - P(a)
DE000A0NGJ10
paying dividend
EUR
Axxion 131.4200
05/09/2024
-4.37% +1.91% -3.62% -5.11% -0.16
9.44%