Titel
ISIN
  Ertragstyp
Währung
Fondsgesellschaft Rückn. Preis
Datum
Perf. 3M Perf. 1J Perf. 3J Perf. 5J SR (1J)
Vola. (1J)
 
Quantex Funds - Spectravest 3a
CH0401023459
thesaurierend
CHF
1741 Fund Management 1.6952
30.08.2024
+2.91% +11.53% +19.70% +80.33% 0.94
8.51%
Quantex Funds - Spectravest R
CH0224485737
thesaurierend
CHF
1741 Fund Management 2.1672
30.08.2024
+2.91% +10.57% +18.76% +78.91% 0.82
8.6%
FAM US Long Only Fund Ib
AT0000A2EKN0
vollthesaurierend
USD
1741 Fund Management 1'735.0500
02.09.2024
+7.93% +22.92% +14.74% - 1.75
11.2%
FAM US Long Only Fund Ia
AT0000A2EKM2
vollthesaurierend
USD
1741 Fund Management 1'721.2500
02.09.2024
+7.87% +22.68% +14.06% - 1.73
11.2%
Calypso Fund I2
AT0000A1PCC8
thesaurierend
USD
1741 Fund Management 1'408.6400
30.08.2024
+5.65% +14.46% +8.92% +36.77% 1.46
7.53%
Calypso Fund R
AT0000A1EPE0
vollthesaurierend
USD
1741 Fund Management 1'429.3300
30.08.2024
+5.57% +13.94% +7.11% +32.99% 1.38
7.62%
Calypso Fund R
AT0000A1EPD2
thesaurierend
USD
1741 Fund Management 1'377.7100
30.08.2024
+5.33% +13.69% +6.88% +32.70% 1.35
7.6%
Calypso Fund I
AT0000A1H3H5
thesaurierend
USD
1741 Fund Management 1'353.7200
30.08.2024
+5.61% +13.56% +6.24% +31.36% 1.32
7.65%
Format Ausgewogen Plus - Klasse Z (...
CH0529229749
thesaurierend
CHF
1741 Fund Management 118.2100
30.08.2024
+3.89% +11.45% +3.28% - -
6.89%
Belvédère Dynamic Strategy Fund EUR
LI0031268076
thesaurierend
EUR
1741 Fund Management 302.2500
27.08.2024
+3.92% +10.34% +2.53% +18.17% 1.37
5.03%
Format Ausgewogen Plus - Klasse A (...
CH0529229764
thesaurierend
EUR
1741 Fund Management 121.3500
30.08.2024
+4.36% +13.01% +2.19% - -
6.9%
Belvédère Asia-Pacific Fund USD
LI0031268050
thesaurierend
USD
1741 Fund Management 197.0800
27.08.2024
+1.31% +8.80% +0.50% +24.98% 0.81
6.6%
FAM Alternative Strategies Fund VT-...
AT0000A2SQM9
vollthesaurierend
USD
1741 Fund Management 998.3000
30.08.2024
+0.47% +8.09% -0.17% - -
5.16%
Format Ausgewogen Plus A (CHF)
CH0529229731
thesaurierend
CHF
1741 Fund Management 117.1700
30.08.2024
+3.63% +10.75% -0.93% - 1.06
6.86%
Lakefield UCITS-SICAV - Dynamic Glo...
LU0618382104
thesaurierend
USD
1741 Fund Management 133.4800
30.08.2024
+3.63% +11.35% -3.46% +5.96% 1.51
5.2%
Lakefield UCITS-SICAV - Dynamic Glo...
LU0618388994
thesaurierend
CHF
1741 Fund Management 101.3800
30.08.2024
+0.99% +7.63% -13.32% -8.11% 0.77
5.37%
Lakefield UCITS-SICAV - Dynamic Glo...
LU0618355985
thesaurierend
EUR
1741 Fund Management 111.5700
30.08.2024
+2.74% +9.35% - - 1.17
4.98%
Lakefield UCITS-SICAV - Dynamic Glo...
LU1401139131
ausschüttend
EUR
1741 Fund Management 96.1000
30.08.2024
+2.75% +9.74% - - 1.25
4.99%
Lakefield UCITS-SICAV - Dynamic Glo...
LU1401139214
ausschüttend
USD
1741 Fund Management 105.5100
30.08.2024
+3.62% +11.36% - - 1.51
5.2%
AWI BVG 25 andante
CH0009004349
thesaurierend
CHF
1741 Fund Management 1'714.3000
29.08.2024
+2.59% +7.81% - - 1.04
4.12%