Titel
ISIN
  Ertragstyp
Währung
Fondsgesellschaft Rückn. Preis
Datum
Perf. 3M Perf. 1J Perf. 3J Perf. 5J SR (1J)
Vola. (1J)
 
BBBank Dynamik Union
DE0005326565
ausschüttend
EUR
Union Inv. Privatf. 104,4600
18.07.2024
+7,54% +26,79% +31,15% +83,59% 2,09
11,05%
BBBank Kontinuität Union
DE0005314231
thesaurierend
EUR
Union Inv. Privatf. 94,8900
18.07.2024
+6,61% +18,60% +8,08% +26,13% 2,10
7,11%
BBBank Wachstum Union
DE0005314249
thesaurierend
EUR
Union Inv. Privatf. 93,1800
18.07.2024
+6,91% +23,52% +19,91% +50,44% 2,25
8,82%
Bright Future Fonds
DE000A2AR3V2
ausschüttend
EUR
Union Inv. Privatf. 1.243,9500
18.07.2024
+4,96% +16,03% +14,81% +28,54% 1,82
6,77%
FVB-Aktienfonds Nachhaltig
DE0009766865
ausschüttend
EUR
Union Inv. Privatf. 63,6600
18.07.2024
+4,50% +15,49% +14,18% +39,37% 1,14
10,34%
FVB-Renten Plus Nachhaltig
DE0009766857
ausschüttend
EUR
Union Inv. Privatf. 37,8800
18.07.2024
+2,46% +7,57% -6,34% -0,87% 1,05
3,71%
GI Portfolio I
DE000A0KDYE3
thesaurierend
EUR
Union Inv. Privatf. 21.009,9609
18.07.2024
+5,49% +21,01% +15,04% +38,84% 2,31
7,5%
Global Select Portfolio I
DE0008477035
thesaurierend
EUR
Union Inv. Privatf. 3.231,2400
18.07.2024
+6,71% +25,32% +28,46% +65,53% 2,32
9,32%
Global Select Portfolio II
DE0008477043
thesaurierend
EUR
Union Inv. Privatf. 3.555,8301
18.07.2024
+7,49% +31,43% +37,28% +77,98% 2,56
10,82%
Invest Global
DE0009757922
ausschüttend
EUR
Union Inv. Privatf. 182,1000
18.07.2024
+4,86% +22,55% +36,99% +88,01% 1,79
10,52%
Katholische Werte-Fonds
DE000A2QFXT1
ausschüttend
EUR
Union Inv. Privatf. 102,0200
18.07.2024
+1,93% +7,17% - - 1,47
2,37%
KCD-Union Nachhaltig AKTIEN
DE0005326532
ausschüttend
EUR
Union Inv. Privatf. 75,7700
18.07.2024
+4,77% +22,42% +24,82% +39,14% 2,09
8,96%
KCD-Union Nachhaltig AKTIEN I
DE000A2DMVE1
ausschüttend
EUR
Union Inv. Privatf. 146,1100
18.07.2024
+4,96% +23,30% +27,48% +41,95% 2,19
8,96%
KCD-Union Nachhaltig MIX
DE0009750000
ausschüttend
EUR
Union Inv. Privatf. 55,0400
18.07.2024
+2,16% +8,60% -3,10% +1,67% 1,12
4,41%
KCD-Union Nachhaltig MIX I
DE000A2AR3S8
ausschüttend
EUR
Union Inv. Privatf. 102,7700
18.07.2024
+2,19% +8,72% -2,82% +2,17% 1,14
4,41%
KCD-Union Nachhaltig RENTEN
DE0005326524
ausschüttend
EUR
Union Inv. Privatf. 47,0100
18.07.2024
+1,38% +4,67% -12,40% -11,31% 0,26
3,76%
KinderZukunftsFonds
DE000A2QFXK0
ausschüttend
EUR
Union Inv. Privatf. 46,8600
18.07.2024
+5,21% +17,83% +7,70% - 1,87
7,58%
LIGA Multi Asset Income I
DE000A1C81K3
ausschüttend
EUR
Union Inv. Privatf. 74,0200
18.07.2024
+4,05% +11,91% +13,63% +13,57% 1,79
4,6%
LIGA-PAX-Aktien-Union
DE0009750216
ausschüttend
EUR
Union Inv. Privatf. 49,6400
18.07.2024
+4,20% +9,46% +16,76% +49,44% 0,63
9,17%
LIGA-Pax-Rent-Union
DE0008491226
ausschüttend
EUR
Union Inv. Privatf. 23,3100
18.07.2024
+1,69% +5,96% -10,04% -8,31% 0,65
3,49%