Titel
ISIN
  Ertragstyp
Währung
Fondsgesellschaft Rückn. Preis
Datum
Perf. 3M Perf. 1J Perf. 3J Perf. 5J SR (1J)
Vola. (1J)
 
UniFonds
DE0008491002
ausschüttend
EUR
Union Inv. Privatf. 58.2000
22.08.2024
-2.66% +12.15% -12.94% +23.13% 0.76
11.37%
UniMultiAsset:Ch. I
DE000A2H9A19
ausschüttend
EUR
Union Inv. Privatf. 55.4200
22.08.2024
+3.49% +12.12% -3.28% +7.07% 1.75
4.89%
LIGA Multi Asset Income I
DE000A1C81K3
ausschüttend
EUR
Union Inv. Privatf. 73.5600
22.08.2024
+1.36% +12.05% +10.31% +13.75% 1.55
5.48%
PrivatFonds: Flexibel pro
DE000A0RPAL7
ausschüttend
EUR
Union Inv. Privatf. 143.8900
22.08.2024
+0.13% +12.01% +1.49% +19.23% 1.77
4.77%
UniMultiAs.Exkl.
DE000A2H9A01
ausschüttend
EUR
Union Inv. Privatf. 62.5500
22.08.2024
+0.60% +12.00% +1.71% +19.64% 1.69
4.99%
UniFonds-net-
DE0009750208
ausschüttend
EUR
Union Inv. Privatf. 85.4900
22.08.2024
-2.79% +11.85% -13.67% +19.12% 0.73
11.42%
UniInstitutional Multi Asset FK
DE000A2H8729
ausschüttend
EUR
Union Inv. Privatf. 115.8700
22.08.2024
+0.53% +11.71% +0.65% +17.96% 1.61
5.07%
UniNachhaltig Aktien Deutschland
DE0009750117
thesaurierend
EUR
Union Inv. Privatf. 242.8100
22.08.2024
-1.65% +11.62% -3.80% +26.11% 0.69
11.74%
UniMultiAsset Chance I Nachhaltig
DE000A2PPJ98
thesaurierend
EUR
Union Inv. Privatf. 52.8600
22.08.2024
+1.71% +11.35% -4.19% - 1.59
4.93%
VR Mainfranken Nachhaltig
DE0008007543
ausschüttend
EUR
Union Inv. Privatf. 56.6400
22.08.2024
+1.18% +11.26% +0.38% +1.92% 1.62
4.76%
KCD-Union Nachhaltig MIX I
DE000A2AR3S8
ausschüttend
EUR
Union Inv. Privatf. 103.9600
22.08.2024
+1.81% +11.18% -3.71% +3.22% 1.75
4.36%
KCD-Union Nachhaltig MIX
DE0009750000
ausschüttend
EUR
Union Inv. Privatf. 55.6700
22.08.2024
+1.77% +11.05% -4.00% +2.71% 1.72
4.36%
UniMultiAsset Exkl. Nachh.
DE000A2PPJ80
ausschüttend
EUR
Union Inv. Privatf. 58.0500
22.08.2024
+1.54% +10.93% -2.01% - 1.41
5.24%
UniInstitutional Aktien Inf.Nachhal...
DE000A2QFXJ2
ausschüttend
EUR
Union Inv. Privatf. 106.4700
22.08.2024
+2.44% +10.89% +4.19% - 0.79
9.29%
UniEuroRenta HighYield
DE0009757831
ausschüttend
EUR
Union Inv. Privatf. 33.1300
22.08.2024
+2.13% +10.84% -1.16% +5.45% 3.07
2.38%
VB Kassel Göttingen Union Select
DE0005314496
ausschüttend
EUR
Union Inv. Privatf. 35.4200
22.08.2024
-2.75% +10.83% -4.16% +14.25% 1.02
7.17%
UniRak Konservativ A
DE000A1C81C0
ausschüttend
EUR
Union Inv. Privatf. 116.9200
22.08.2024
+1.41% +10.66% -9.82% +2.73% 1.40
5.1%
Pax Nachhaltig Global Fonds I
DE000A12BTY8
ausschüttend
EUR
Union Inv. Privatf. 984.0000
22.08.2024
+2.11% +10.49% -5.87% +1.61% 1.44
4.82%
UniRak Konservativ -net- A
DE000A1C81D8
ausschüttend
EUR
Union Inv. Privatf. 114.8400
22.08.2024
+1.32% +10.27% -10.75% +0.95% 1.32
5.1%
Pax Nachhaltig Global Fonds R
DE000A12BTX0
ausschüttend
EUR
Union Inv. Privatf. 96.1200
22.08.2024
+2.04% +10.14% -6.77% +0.12% 1.37
4.82%