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)
 
DEGI International
DE0008007998
paying dividend
EUR
Commerz Funds Sol. 1.6000
01/10/2024
-0.62% -1.83% -13.58% -12.35% -3.24
1.59%
DEGI Global Business
DE000A0ETSR6
paying dividend
EUR
Commerz Funds Sol. 0.8368
01/10/2024
-0.23% -1.48% -5.46% -8.50% -10.98
0.44%
DEGI German Business
DE000A0J3TP7
paying dividend
EUR
Commerz Funds Sol. 0.6400
01/10/2024
-1.54% -2.71% -7.38% -11.48% -2.00
3.03%
DEGI Europa
DE0009807800
paying dividend
EUR
Commerz Funds Sol. 0.3900
01/10/2024
-4.88% -22.00% -8.96% -11.72% -1.39
18.27%
Credit Suisse Property Dynamic
DE0009751354
paying dividend
EUR
Commerz Funds Sol. 12.8000
30/09/2024
+0.71% +2.82% +2.92% +4.96% -1.12
0.44%
Credit Suisse Euroreal A EUR
DE0009805002
paying dividend
EUR
Commerz Funds Sol. 2.0500
30/09/2024
+0.49% +7.91% +8.59% -2.35% 0.87
5.33%
Credit Suisse Euroreal A CHF
DE0009751404
paying dividend
CHF
Commerz Funds Sol. 3.0600
30/09/2024
-0.65% +2.23% -0.44% -8.20% -0.29
3.71%