Titel
ISIN
  Ertragstyp
Währung
Fondsgesellschaft Rückn. Preis
Datum
Perf. 3M Perf. 1J Perf. 3J Perf. 5J SR (1J)
Vola. (1J)
 
BFT France Equilibre ISR - P (C)
FR0011043009
thesaurierend
EUR
BFT Inv.Managers 115.1800
22.08.2024
-2.30% +2.49% -2.08% +11.45% -0.13
7.93%
BFT FRANCE FUTUR ISR - I
FR0011036912
thesaurierend
EUR
BFT Inv.Managers 2'225'490.0000
22.08.2024
-6.83% -1.43% -16.40% - -0.34
14.68%
BFT FRANCE FUTUR ISR - P
FR0010340620
ausschüttend
EUR
BFT Inv.Managers 80.9500
22.08.2024
-7.06% -2.40% -18.82% - -0.41
14.68%
BFT FRANCE FUTUR ISR - P
FR0010340612
thesaurierend
EUR
BFT Inv.Managers 101.1900
22.08.2024
-7.05% -2.38% -18.80% - -0.40
14.68%
BFT FRANCE MONETAIRE COURT TERME IS...
FR0010232298
thesaurierend
EUR
BFT Inv.Managers 14'033.5703
22.08.2024
+0.96% +4.02% +5.74% +4.71% 2.44
0.2%
BFT FRANCE MONETAIRE COURT TERME IS...
FR0013067808
thesaurierend
EUR
BFT Inv.Managers 10'383.4805
22.08.2024
+0.97% +4.04% +5.80% +4.77% 2.51
0.2%
BFT France Obligations Durables ISR...
FR001400C9Y2
thesaurierend
EUR
BFT Inv.Managers 10'424.5693
22.08.2024
+1.65% +5.49% - - 0.65
3.01%
BFT France Obligations Durables ISR...
FR001400C9W6
ausschüttend
EUR
BFT Inv.Managers 101.8300
22.08.2024
+1.79% +5.12% - - 0.52
3.02%
BFT France Obligations Durables ISR...
FR001400C9Z9
thesaurierend
EUR
BFT Inv.Managers 103.8776
22.08.2024
+1.56% +5.26% - - 0.57
3.02%
BFT France Solidaire ISR P EUR
FR001400E5X0
thesaurierend
EUR
BFT Inv.Managers 100.5400
22.08.2024
-3.10% +0.79% - - -0.25
10.81%
BFT France Solidaire ISR P EUR
FR001400E5Y8
ausschüttend
EUR
BFT Inv.Managers 98.6600
22.08.2024
-3.18% +0.71% - - -0.26
10.83%
BFT LCR SOCIAL GREEN (C)
FR0010544775
thesaurierend
EUR
BFT Inv.Managers 11'347.4004
22.08.2024
+1.07% +3.28% +3.90% - -0.30
0.88%
BFT Partners - Via Equity Europe SR...
FR0013385531
thesaurierend
EUR
BFT Inv.Managers 1'487.4600
22.08.2024
-2.54% +18.23% +6.44% +50.25% 1.37
10.73%
BFT Partners - Via Equity Europe SR...
FR0013385556
thesaurierend
EUR
BFT Inv.Managers 142.4298
22.08.2024
-2.77% +17.22% +3.86% - 1.27
10.73%
BFT Rendement 2027 - I (C)
FR001400D3Y4
thesaurierend
EUR
BFT Inv.Managers 1'128.9004
22.08.2024
+2.16% +9.01% - - 2.92
1.87%
BFT Rendement 2027 - P
FR001400D3V0
ausschüttend
EUR
BFT Inv.Managers 106.8861
22.08.2024
+2.09% +8.72% - - 2.76
1.88%
BFT Rendement 2027 - P
FR001400D3W8
thesaurierend
EUR
BFT Inv.Managers 112.5009
22.08.2024
+2.09% +8.73% - - 2.77
1.87%
BFT Selection Rendement 2026 - I
FR0013222387
ausschüttend
EUR
BFT Inv.Managers 944.1038
22.08.2024
+1.84% +5.38% +4.10% +6.23% 1.91
0.96%
BFT Selection Rendement 2026 - I (C...
FR0013222379
thesaurierend
EUR
BFT Inv.Managers 1'143.1443
22.08.2024
+1.84% +5.38% +4.10% +6.23% 1.91
0.96%
BFT Selection Rendement 2026 - I2 (...
FR0014002XJ3
thesaurierend
EUR
BFT Inv.Managers 1'061.5132
22.08.2024
+1.91% +5.65% +4.88% - 2.18
0.96%