Titel
ISIN
  Ertragstyp
Währung
Fondsgesellschaft Rückn. Preis
Datum
Perf. 3M Perf. 1J Perf. 3J Perf. 5J SR (1J)
Vola. (1J)
 
Real Invest Austria A
AT0000634357
ausschüttend
EUR
BA Real Invest KAG 11.8100
01.10.2024
+1.03% +2.41% +7.83% +13.71% -1.35
0.67%
Real Invest Austria T
AT0000634365
thesaurierend
EUR
BA Real Invest KAG 16.8300
01.10.2024
+0.96% +2.43% +7.78% +13.66% -1.35
0.66%
Real Invest Austria VTI
AT0000A05RD2
vollthesaurierend
EUR
BA Real Invest KAG 18.7600
01.10.2024
+0.91% +2.40% +7.75% +13.63% -1.55
0.59%
REAL INVEST Europe A
AT0000A001N3
ausschüttend
EUR
BA Real Invest KAG 62.3000
01.10.2024
+0.58% +2.53% +16.29% +21.88% -0.92
0.85%
REAL INVEST Europe T
AT0000A001P8
thesaurierend
EUR
BA Real Invest KAG 70.0500
01.10.2024
+0.59% +2.55% +16.31% +21.88% -0.90
0.85%
REAL INVEST Europe VTI
AT0000A04KN9
vollthesaurierend
EUR
BA Real Invest KAG 70.5300
01.10.2024
+0.60% +2.57% +16.29% +21.88% -0.89
0.84%