Titel
ISIN
  Ertragstyp
Währung
Fondsgesellschaft Rückn. Preis
Datum
Perf. 3M Perf. 1J Perf. 3J Perf. 5J SR (1J)
Vola. (1J)
 
Am. IBEX 35 Doble Inv. Diario (-2x)...
FR0011036268
thesaurierend
EUR
Amundi Asset Mgmt. 1,0185
19.07.2024
-8,71% -29,26% -60,08% -72,28% -1,32
25,04%
Am. PEA Oblig. d'État Euro UCITS ET...
FR0013346681
thesaurierend
EUR
Amundi Asset Mgmt. 9,1320
19.07.2024
+0,93% +2,86% -16,35% -14,58% -0,15
5,63%
Am. US TIPS Gov.Infl.-Linked Bd.UE ...
LU1452600437
ausschüttend
EUR
Amundi Asset Mgmt. 18,6761
19.07.2024
+2,92% +0,97% -11,42% - -0,45
5,99%
Am. US TIPS Gov.Infl.-Linked Bd.UE ...
LU1452600601
ausschüttend
GBP
Amundi Asset Mgmt. 104,8060
19.07.2024
+3,26% +2,30% -8,29% +5,23% -0,23
5,98%
Am. US TIPS Gov.Infl.-Linked Bd.UE ...
LU1452600270
ausschüttend
USD
Amundi Asset Mgmt. 111,0925
19.07.2024
+3,37% +2,88% -5,52% +10,51% -0,14
5,98%
Am. US TIPS Gov.Infl.-Linked Bd.UE ...
LU1452600197
thesaurierend
USD
Amundi Asset Mgmt. 21,7724
19.07.2024
+3,36% +2,87% -5,52% - -0,14
5,98%
Am. US Treas. 10Y Daily (-2x) Inv.U...
FR0011607084
thesaurierend
USD
Amundi Asset Mgmt. 107,2006
19.07.2024
-3,71% +11,16% +58,40% +35,97% 0,57
13,23%
Am.MSCI W.Ex EMU SRI P.NZ A.PAB UE
FR0013209921
thesaurierend
USD
Amundi Asset Mgmt. 227,0090
19.07.2024
+9,31% +11,36% +16,74% +65,04% 0,70
11,04%
Amnudi PEA Eau(MSCI Water)UE Ca.
FR0011882364
thesaurierend
EUR
Amundi Asset Mgmt. 30,1892
19.07.2024
+2,92% +17,65% +21,58% +74,91% 1,26
11,06%
AMUNDI - KBI AQUA ISR (C)
FR0013216207
thesaurierend
EUR
Amundi Asset Mgmt. 200,5000
19.07.2024
+4,78% +16,96% +26,44% +72,06% 1,25
10,62%
Amundi ABS I EUR
FR0010319996
thesaurierend
EUR
Amundi Asset Mgmt. 271.897,8125
19.07.2024
+1,79% +7,27% +9,44% +11,50% 8,76
0,41%
AMUNDI ACTIONS EURO ISR - I (C)
FR0010773242
thesaurierend
EUR
Amundi Asset Mgmt. 116.015,5469
19.07.2024
+1,19% +9,96% +20,52% +43,40% 0,58
10,9%
Amundi Actions PME
FR0011556828
thesaurierend
EUR
Amundi Asset Mgmt. 843,9400
19.07.2024
+5,00% +3,74% -10,32% +17,96% 0,01
11,07%
Amundi Australia S&P/ASX 200 UCITS ...
LU0496786905
ausschüttend
EUR
Amundi Asset Mgmt. 50,8418
19.07.2024
+8,10% +14,67% +20,92% +37,23% 0,82
13,46%
Amundi Bavarian Equity Fund I
FR0013494861
ausschüttend
EUR
Amundi Asset Mgmt. 1.513,4467
18.07.2024
+3,46% +15,60% +17,53% - 0,89
13,46%
Amundi Bavarian Equity Fund P
FR0013494879
ausschüttend
EUR
Amundi Asset Mgmt. 123,7178
18.07.2024
+3,28% +14,80% +15,09% - 0,83
13,44%
Amundi Bavarian Equity Fund R
FR0013494887
ausschüttend
EUR
Amundi Asset Mgmt. 150,1765
18.07.2024
+3,41% +15,38% +16,84% - 0,88
13,35%
Amundi BEL 20 UCITS ETF Dist
FR0000021842
ausschüttend
EUR
Amundi Asset Mgmt. 59,6319
19.07.2024
+5,95% +8,61% +3,15% +18,21% 0,41
12%
AMUNDI BFT CONVERTIBLES ISR - I
FR001400DXU3
thesaurierend
EUR
Amundi Asset Mgmt. 1.039,5601
19.07.2024
+1,43% -0,24% - - -0,59
5,44%
AMUNDI BFT CONVERTIBLES ISR - I3
FR0010236091
thesaurierend
EUR
Amundi Asset Mgmt. 1.417,2300
19.07.2024
+1,36% -0,57% -11,62% - -0,65
5,46%
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