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)
 
Frankfurter Aktienfonds f.Stiftunge...
DE000A2N5MA1
reinvestment
EUR
Axxion 113.5500
29/07/2024
-0.56% +2.08% -4.72% +22.86% -0.16
9.76%
Frankfurter Aktienfonds f.Stiftunge...
DE000A2N66D4
reinvestment
CHF
Axxion 112.1600
29/07/2024
-1.15% -0.03% -8.20% +16.16% -0.38
9.73%
Frankfurter Aktienfonds f.Stiftunge...
DE000A2JJ222
paying dividend
EUR
Axxion 94,802.0234
29/07/2024
-0.43% +2.42% -3.59% +22.71% -0.13
9.75%
Frankfurter Aktienfonds f.Stiftunge...
DE000A2P1AS5
paying dividend
EUR
Axxion 1,427.6400
29/07/2024
-0.39% +2.79% -2.96% - -0.09
9.76%
Frankfurter Aktienfonds für Stiftun...
DE000A1JSWP1
paying dividend
EUR
Axxion 114.0700
29/07/2024
-0.56% +2.06% -4.70% +20.75% -0.16
9.75%
Frankfurter Aktienfonds für Stiftun...
DE000A12BPQ2
paying dividend
EUR
Axxion 109.1000
29/07/2024
-0.49% +2.35% -3.84% +22.45% -0.13
9.76%
Frankfurter Aktienfonds für Stiftun...
DE000A0M8HD2
paying dividend
EUR
Axxion 140.8200
29/07/2024
-0.56% +2.08% -4.77% +20.67% -0.16
9.76%
Frankfurter Aktienfonds für Stiftun...
DE000A12BPP4
paying dividend
EUR
Axxion 144.4100
29/07/2024
-0.49% +2.38% -3.81% +22.29% -0.13
9.76%
Frankfurter Stiftungsfonds A
DE000A2JJZ37
paying dividend
EUR
Axxion 105,188.2109
29/07/2024
-0.30% +2.90% +1.31% +18.51% -0.14
5.4%
Frankfurter Stiftungsfonds G
DE000A2DTMS5
paying dividend
EUR
Axxion 8,710.4297
29/07/2024
-0.38% +3.04% +1.54% +19.77% -0.11
5.68%
Frankfurter Stiftungsfonds I
DE000A2DTMP1
paying dividend
EUR
Axxion 85,430.7813
29/07/2024
-0.29% +2.91% +1.37% +18.00% -0.13
5.4%
Frankfurter Stiftungsfonds R
DE000A2DTMN6
paying dividend
EUR
Axxion 83.2700
29/07/2024
-0.40% +2.63% +0.38% +15.91% -0.18
5.48%
Frankfurter Stiftungsfonds S
DE000A2DTMR7
paying dividend
EUR
Axxion 87,675.5391
29/07/2024
-0.23% +2.95% +1.32% +17.96% -0.13
5.38%
FUNDament Total Return I
DE000A2H8901
paying dividend
EUR
Axxion 137.8000
29/07/2024
-5.23% -10.77% -9.16% +37.55% -0.74
19.54%
FUNDament Total Return P
DE000A2H5YB2
paying dividend
EUR
Axxion 131.0400
29/07/2024
-5.32% -11.12% -10.61% +32.97% -0.76
19.52%
FutureFolio 33 P
DE000A2QLAJ8
paying dividend
EUR
Axxion 100.6900
29/07/2024
+2.15% +5.53% -2.38% - 0.52
3.66%
FutureFolio 33 U
DE000A2QLAH2
paying dividend
EUR
Axxion 101.5600
29/07/2024
+2.20% +5.79% -1.65% - 0.59
3.66%
FutureFolio 55 P
DE000A2N67J9
paying dividend
EUR
Axxion 118.4400
29/07/2024
+2.57% +6.56% +0.77% +13.45% 0.58
5.1%
FutureFolio 55 U
DE000A2N67H3
paying dividend
EUR
Axxion 122.0300
29/07/2024
+2.72% +7.14% +2.45% +16.61% 0.69
5.09%
FutureFolio 77 I
DE000A2P1B43
reinvestment
EUR
Axxion 132.7900
29/07/2024
+3.03% +8.27% +5.32% - 0.72
6.49%