VV-Strategie Ausgewogen T1/  LU0336101141  /

Fonds
NAV2024-11-12 Chg.-6.2700 Type of yield Investment Focus Investment company
1,456.5900EUR -0.43% paying dividend Mixed Fund LRI Invest 
     
Chart for VV-Strategie Ausgewogen T1
  Name   ISIN Performance Volatility Sharpe ratio
1. Best-in-One Balanced - A - EUR LU0072229809 +22.64% 5.01% 3.91
2. KEPLER Vorsorge Mixfonds IT A AT0000A20DA7 +20.27% 4.62% 3.73
3. KEPLER Vorsorge Mixfonds A AT0000969787 +19.79% 4.61% 3.63
4. KEPLER Mix Ausgewogen A AT0000825476 +19.28% 4.83% 3.36
5. VM Strategie Dynamik AT0000746292 +16.61% 4.04% 3.36
6. FarSighted Moderate PortFolio A AT0000802590 +14.54% 3.37% 3.41
7. Sauren Nachhaltig Ausgewogen 3F LU2322703146 +15.33% 3.73% 3.30
8. Raiffeisen-Portfolio-Balanced RZ A AT0000A1U7P2 +21.34% 5.61% 3.26
9. Sauren Nachhaltig Ausgewogen D LU2385790584 +14.97% 3.66% 3.26
10. Portfolio Management AUSGEWOGEN A AT0000707542 +18.67% 4.81% 3.25
...
293. VV-Strategie Ausgewogen T1 LU0336101141 +11.84% 4.74% 1.86