Titel
ISIN
  Ertragstyp
Währung
Fondsgesellschaft Rückn. Preis
Datum
Perf. 3M Perf. 1J Perf. 3J Perf. 5J SR (1J)
Vola. (1J)
 
Mirabaud (CH) - LPP 25+ I cap. CHF
CH0131379221
thesaurierend
CHF
Mirabaud AM (EU) 142.3700
29.07.2024
+2.48% +5.08% -3.92% +5.08% 0.49
3%
Mirabaud (CH) - LPP 25+ L cap. CHF
CH1310118786
thesaurierend
CHF
Mirabaud AM (EU) 104.1300
29.07.2024
+2.37% - - - -
-
Mirabaud (CH) - LPP 25+ M cap. CHF
CH0263329150
thesaurierend
CHF
Mirabaud AM (EU) 110.9700
29.07.2024
+2.54% +5.33% -3.46% +5.92% 0.58
3%
Mirabaud (CH) - LPP 25+ Z cap. CHF
CH0131379288
thesaurierend
CHF
Mirabaud AM (EU) 147.3600
29.07.2024
+2.62% - - - -
-
Mirabaud (CH) - LPP 40+ I cap. CHF
CH0131379569
thesaurierend
CHF
Mirabaud AM (EU) 151.2400
24.07.2024
+2.60% +6.65% -10.04% +0.87% 0.80
3.68%
Mirabaud (CH) - LPP 40+ M cap. CHF
CH0263329291
thesaurierend
CHF
Mirabaud AM (EU) 113.6500
24.07.2024
+2.66% +6.90% -9.69% - 0.87
3.68%
Mirabaud (CH) - LPP 40+ Z cap. CHF
CH0131379999
thesaurierend
CHF
Mirabaud AM (EU) 156.6100
24.07.2024
+2.73% +7.21% -9.10% - 0.96
3.68%
Mirabaud (CH) - LPP 45+ L cap. CHF
CH1310089326
thesaurierend
CHF
Mirabaud AM (EU) 104.7400
29.07.2024
+2.93% - - - -
-
Mirabaud (CH) - LPP 65+ L cap. CHF
CH1310118612
thesaurierend
CHF
Mirabaud AM (EU) 105.7500
29.07.2024
+3.32% - - - -
-
Mirabaud Multi Assets - Cautious - ...
LU0622658333
thesaurierend
EUR
Mirabaud AM (EU) 108.8100
29.07.2024
+1.58% +4.88% -6.44% - 0.33
3.82%
Mirabaud Multi Assets - Cautious - ...
LU0622658416
thesaurierend
EUR
Mirabaud AM (EU) 100.8900
29.07.2024
+1.73% +5.57% -4.62% - 0.51
3.82%
Mirabaud Multi Assets - Flexible - ...
LU0562891944
thesaurierend
EUR
Mirabaud AM (EU) 136.7400
29.07.2024
+2.37% +8.22% -0.47% - 0.84
5.52%
Mirabaud Multi Assets - Flexible - ...
LU0562892165
thesaurierend
EUR
Mirabaud AM (EU) 126.3000
29.07.2024
+2.55% +8.95% +1.51% - 0.97
5.53%