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)
 
AL Trust Aktien Deutschland
DE0008471608
paying dividend
EUR
ALTE LEIPZIGER Trust 129.4400
01/10/2024
+5.37% +20.40% +3.05% +24.16% 1.50
11.4%
AL Trust Aktien Europa
DE0008471764
paying dividend
EUR
ALTE LEIPZIGER Trust 58.3400
01/10/2024
+1.32% +19.07% +12.82% +23.50% 1.25
12.62%
AL Trust Chance
DE000A0H0PH0
paying dividend
EUR
ALTE LEIPZIGER Trust 106.4000
01/10/2024
+1.99% +19.86% +13.31% +37.70% 2.33
7.11%
AL Trust Chance Inst(T)
DE000A2PWPC0
reinvestment
EUR
ALTE LEIPZIGER Trust 88.8700
01/10/2024
+2.27% +21.09% +16.89% - 2.51
7.1%
AL Trust Euro Renten
DE0008471616
paying dividend
EUR
ALTE LEIPZIGER Trust 39.3500
01/10/2024
+3.91% +10.86% -12.67% -13.01% 1.43
5.28%
AL Trust Euro Renten Inst(T)
DE000A2PWPA4
reinvestment
EUR
ALTE LEIPZIGER Trust 44.9000
01/10/2024
+3.91% +10.86% -12.58% - 1.42
5.32%
AL Trust Euro Short Term
DE0008471699
paying dividend
EUR
ALTE LEIPZIGER Trust 41.8300
01/10/2024
+2.25% +5.84% -1.63% -1.26% 1.82
1.39%
AL Trust Global Invest
DE0008471715
paying dividend
EUR
ALTE LEIPZIGER Trust 123.1300
01/10/2024
+1.49% +17.48% +1.88% +36.38% 1.54
9.25%
AL Trust Global Invest Inst(T)
DE000A2PWPB2
reinvestment
EUR
ALTE LEIPZIGER Trust 83.1200
01/10/2024
+1.59% +17.88% +1.59% - 1.58
9.26%
AL Trust Stabilität
DE000A0H0PF4
paying dividend
EUR
ALTE LEIPZIGER Trust 65.9700
01/10/2024
+3.32% +13.27% -0.08% +7.98% 2.93
3.41%
AL Trust Stabilität Inst(T)
DE000A2PWPD8
reinvestment
EUR
ALTE LEIPZIGER Trust 60.9300
01/10/2024
+3.52% +14.04% +1.89% - 3.15
3.42%
AL Trust Wachstum
DE000A0H0PG2
paying dividend
EUR
ALTE LEIPZIGER Trust 88.5500
01/10/2024
+2.58% +16.45% +5.49% +21.41% 2.56
5.15%
AL Trust Wachstum Inst(T)
DE000A2PWPE6
reinvestment
EUR
ALTE LEIPZIGER Trust 72.8200
01/10/2024
+2.80% +17.43% +8.03% - 2.75
5.15%