Öst erreichische
Publikumsfonds
3BK Immo-Strategie AT0000A07HD9 EU 11,64 11,
STOCKGLOBAL AT0000812870 EU 105,24 101,
Lesen Sie unseren Experten-Blog
http://blog.de.erste-am.com
GermanRent (T)* AT0000971064 EU687,67 679,
InterStock A* AT0000859855 EU174,92 168,
Investmentfonds
Der Fondsprospekt ist kostenfrei erhältlich auf
Tel: +49 69 263-140 http://www.allianzglobalinvestors.de
LEGG MASON DUBLINFUNDS
LM WA Gl HYAEuro* IE00B7VSM832EU96,
LeggMason
Abbey Court,Block C, Irish Life Centre, Dublin 1, Ireland
FSA Recognised, Legg MasonGlobal Funds PLC
http://www.hauck-aufhaeuser.com
DJE Investment S.A.
4, rue Thomas Edison, L-1445Luxemb.-Strassen
Ja.Eq.Opp.PEUR* LU0255979402EU68,
M.A.Gl.Opp.HI CHF* LU1368233539CH125,
UniGlobal Div-netA* LU1570401544EU 88,
UniOptimus-net-*LU0061890835 EU 676,
Fondsgebundene
Lebens- undPensionsversicherungen
INVESTMENTFONDS/FONDSGEBUNDENE PRODUKTE
Fondsname ISIN Whrg. NAV
BF International AA* LU0081697723CH 78,
http://www.union-investment.at
In Österreich erhalten Sie Informationen bei
der UnionInvest ment AustriaGmbH
(T:+43 1205 505 DW 5102 oder 5103) sowie bei
0800 -6941900 http://www.starcapital.de
Weena 850 ,3014 DA Rotterdam
*Preise vom Vortag oder letzt verfügbar
NAV =Nettoinventarwert bzw. Rechenwert. Falls nur der Rücknahmepreis vorliegt, wird dieserkursivdargestellt.
Falls die ausschüttende Tranche nicht aus dem Fondsnamen erkenntlich ist, wird die Währung unterstrichen
dargestellt (z.B. EU).
Währungen: AU=Australischer Dollar, CH=Schweizer Franken, CA=Canadischer Dollar, DK=Dänische Krone,
EU=Euro, GB=Brit. Pfund, JP=Japanische Yen, NO=Norwegische Krone, SE=Schwedische Krone, US=US-Dollar.
Gl Em.DebtPUSD* LU0128467544 US 331,
Der Haltunggewidmet.
Geht insOhr,
bleibt im Kopf.
„Thema desTages“ –der tägliche Podcast
aus der STANDARD-Redaktion.
Montag bis Freitag um 17 Uhr
auf derStandard.at und Spotify.
JETZT
RE
INHÖREN
EURO/$ ATX +10,74 % DAX DOWJONES ROHÖL
Gewinner
FACC +26,48%
OMV +20,51%
Verbund +20,17%
Verlierer
+3,70%
Gewinner
Fresenius +10,82%
Heidelb.Cem.+10,39%
AllianzvNA +10,35%
Fres. M.C.St. –3,65%
E.ON NA –3,54%
Münch.R. vNA –3,51%
Verlierer
–2,30%
Gewinner
TravelersComp.+6,51%
Chevron +4,32%
McDonald’s +3,68%
3M –8,57%
Proct.&Gamb. –7,27%
DisneyCo. –6,95%
Verlierer
–0,87% –1,99%
DEVISEN CROSSRATES
Titel KursVeränd. 52 Wochen
20.3.Vort.% Hoch Tief
- DERSTANDARDWOCHENENDE Finanzen&Märkte SA./SO., 21./22.MÄRZ 2020 |
- 3BK Abs.Ret.-Mix AT0000619044EU8,30 7, 3Banken-Generali Investment
- 3BK Abs.Ret.-Mix AT0000619051 EU 12,89 12,
- 3BK Aktien-Dachf. AT0000784830 EU 17,98 17,
- 3BK Amer. Stck-Mix AT0000712591 US 20,34 19,
- 3BK Defensiv-Pf. AT0000765136 EU 15,15 14,
- 3BK Div. Champions AT0000600689 EU 8,12 7,
- 3BK Div+Nach2021 AT3BDIV20210 EU 86,20 84,
- 3BK Div+Nach 2022 AT3BDIV20228 EU 90,22 88,
- 3BK Dividenden-Akt AT0000A0XHJ8 EU 11,82 11,
- 3BK Div-Str2021 ATDIVIDENDS0 EU90,66 89,
- 3BK Em.Mkt Bnd-Mix AT0000753173 EU 17,74 17,
- 3BK Emerging-MixAT0000818489 EU 24,32 23,
- 3BK Euro Bond-Mix AT0000856323 EU 7,14 6,
- 3BK Euro Bond-MixAT0000679444 EU 11,11 10,
- 3BK Euro Top-Mix AT0000711577 EU 11,18 10,
- 3BK Europa Bd-MixAT0000986344EU8,29 8,
- 3BK Europa St-Mix AT0000801014 EU 7,25 6,
- 3BK Glbl Stock-Mix AT0000950449 EU 14,33 13,
- 3BK Immo-Strategie AT0000A07HD9 EU 11,64 11,
- 3BK Inflationssch. AT0000A015A0 EU 13,09 12,
- 3BK KMU-Fonds AT0000A06PJ1 EU 11,47 11,
- 3BK LngTerm Eurobd AT0000760731 EU 12,77 12,
- 3BK LngTerm Eurobd AT0000760749 EU 23,15 22,
- 3BK M&UAkt AT0000A23YE9 EU 10,96 10,
- 3BK MegaTrends2023 ATMEGATREND6 EU 92,19 89,
- 3BK Men&UmwMischf.AT0000A23YG4 EU 10,33 10,
- 3BK Nachhaltigk.AT0000701156 EU 14,81 14,
- 3BK Oesterreich-F. AT0000662275 EU 19,51 18,
- 3BK Offensiv-Pf. AT0000765128 EU 12,75 12,
- 3BK Portfolio-Mix AT0000654595 EU 7,22 7,
- 3BK Portfolio-Mix AT0000817838 EU 4,25 4,
- 3BK Renten-Dachf.AT0000637863 EU 9,58 9,
- 3BK Renten-Dachf.AT0000744594 EU 15,45 15,
- 3BK SachwerteAktie AT0000A0S8Z4 EU 12,66 12,
- 3BK Sachwerte-F. AT0000A0ENV1 EU 11,75 11,
- 3BK ShTrm EuBd-Mix AT0000838602 EU 6,86 6,
- 3BK Staatsanl.-F. AT0000615364 EU110,99 108,
- 3BK Strat. Dynamik AT0000784863 EU 14,99 14,
- 3BK Strat. Klassik AT0000986351 EU105,95 102,
- 3BK Strat. Wachs. AT0000784889 EU 14,07 13,
- 3BK Unt&Werte2023 AT0000WERTE5 EU 68,75 67,
- 3BK Unt&WerteAktAT0000A23KD0 EU 8,06 7,
- 3BK Untern.anl.-F. AT0000A0A036 EU 11,72 11,
- 3BK Untern.anl.-F.AT0000A0A044 EU 15,55 15,
- 3BK Value-Aktien AT0000VALUE6 EU 13,07 12,
- 3BK VerantwZuk2024AT00ZUKUNFT5 EU 95,67 93,
- 3BK Währungsfonds AT0000A08SF9 EU 9,79 9,
- 3BK WährungsfondsAT0000A08AA8 EU 12,37 12,
- Best of3Banken AT0000A146V9 EU 10,88 10,
- BKS Anlagem. dyn. AT0000A25707 EU 90,42 86,
- BKS Anlagem. dyn. AT0000A25715 EU 92,13 88,
- BKS Anlagem. kon. AT0000A257X0 EU 95,93 92,
- BKS Anlagem. kon. AT0000A257Y8 EU 97,20 93,
- BKS Strat. Akt.-DF AT0000A256Z7 EU919,79 875,
- BKS Strat. Anl.-DF AT0000A257W2 EU982,89 954,
- BKS Strat. nachh. AT0000A256Y0 EU970,55 933,
- Certus AT000CERTUS1 EU101,04 99,
- CONVERT FAIR&SUS AT0000A21KT0 EU 94,88 90,
- CONVERT Gl.Conv.P. AT0000A14J48 EU101,76 96,
- CONVERT Gl.Conv.P. AT0000A14J55 EU 114,29 108,
- CONVERT Gl.Conv.P. AT0000A1PE35 EU 99,48 94,
- EMCore C. Global AT0000636824 EU 11,72 11,
- EMCore C. Global AT0000A020G7 EU 7,87 7,
- EMCore C. Global AT0000A0UFU5 CH 9,19 8,
- EMCore C. Japan AT0000A02FE2 EU128,90 125,
- EMCore C. JapanAT0000A02FF9 EU 131,09 127,
- FOCUSDIVIDENDAAT0000A1AYA8 EU 93,61 90,
- Generali EuSt-Sel. AT0000810536 EU 10,64 10,
- Generali EuSt-Sel. AT0000810528 EU 5,47 5,
- Generali Verm. MixAT0000A218Z7 EU 94,6 09 4,
- Generali Vermögen AT0000A143T0EU105,61 101,
- OBK Prem. ausgew. AT0000A1YYM3 EU 919,24 896,
- OBK Prem. defensiv AT0000A1YYN1 EU 935,56 917,
- OBK Prem. dynam. AT0000A1YYP6 EU 905,53 879,
- OBK Vermögensm AT0000A06NX7 EU 119,66 116,
- OBK Vermögensm AT0000A1ENY3 EU 96,08 93,
- Primus AT0000A054R3 EU 84,32 81,
- TVG Dynamik Plus AT0000672274 EU 8,13 7,
- TVG Dynamik Plus AT0000672282 EU 12,96 12,
- TVG konservativAT0000859103 EU 13,54 13,
- VMStrat. Zukunft AT0000A255S4 EU 105,65 100,
- Erste ImmofondsAAT0000A08SG7 EU113,99 110,
- Erste ImmofondsT AT0000A08SH5 EU 136,00 131,
- Erste Resp. ImmoAAT0000A1LNT8 EU102,64 100,
- Erste Resp. ImmoTAT0000A1LNU6 EU 105,51 103,
- YOU INVESTactive AT0000A11F86 EU 102,65 98,
- YOU INVESTbalance AT0000A11FB9 EU 104,27 100,
- YOU INVESTprogr TAT0000A1GMW4 EU 92,89 89,
- YOU INVESTsolid AT0000A11FF0 EU 103,63 100,
- SELECT BOND AT0000660600 EU 153,85 150,
- BOND EURO-CORP AT0000724224 EU 166,06 160,
- BOND EURO-MÜNDEL AT0000812995 EU 14,51 14,
- BOND COMBIRENT AT0000812912 EU 32,15 31,
- BOND DANUBIAAT0000812946 EU 140,54 135,
- BOND EURO-RENT AT0000812854 EU 159,87 155,
- STOCKGLOBAL AT0000812870 EU 105,24 101,
- RESP. STCK GLOBALAT0000646799 EU 248,10 236,
- BOND EMERG. MARK AT0000809165 EU 148,71 143,
- BOND EM. MARK.CORP AT0000A05HR3 EU 161,89 156,
- BOND EURO-RESERVA AT0000A001L7 EU 10,40 10,
- PORTF. BALANCED 30 AT0000A09R60 EU 69,85 67,
- RESERVE EUR-PLUS AT0000812979 EU 106,21 105,
- SELECT INVEST AT0000828637 EU 137,74 133,
- STOCKEUROPE AT0000626825 EU 134,40 128,
- STOCKEUROPE-EM AT0000812938 EU 72,69 69,
- STOCKGLOBAL-EM AT0000680970 EU 165,34 158,
- RI AustriaAAT0000634357EU11,77 11, Real Invest-Immobilien KAG
- RI AustriaTAT0000634365 EU 15,90 15,
- RI Austria VTIAT0000A05RD2 EU 17,2 81 6,
- RI EuropeAAT0000A001N3 EU 54,61 52,
- RI EuropeTAT0000A001P8 EU 60,40 58,
- RI Europe VTI AT0000A04KN9 EU 60,68 58,
- Akt. Währg.AAT0000612684EU 138, Schoellerbank Invest AG
- Akt. Währg.TAT0000612692 EU 156,
- AktienfondsVal. AAT0000913942 EU 183,
- AktienfondsVal.(T) AT0000820378 EU 215,
- All Asia AT0000721436 EU 14,
- All JapanTAT0000719695EU 7,
- All Trends AT0000746581 EU 10,
- All World AT0000801170 EU 14,
- Anleihefonds(T) AT0000820394EU 120,
- AnleihefondsAAT0000913926 EU 66,
- Eth.Vors.(T)(RVO) AT0000809447EU 11,
- Ethik VorsorgeTAT0000820477EU 11,
- Euro AlternativAAT0000968961EU 80,
- Euro AlternativTAT0000820386EU 149,
- Glbl Pension FndTAT0000820550 EU 18,
- Glbl Pension Fonds AT0000814991EU 7,
- Global Bal PlusAAT0000A23SX1 EU 9466,
- Global Bal PlusTAT0000A23SY9 EU 9540,
- Global BalancedAAT0000A15MR2 EU
- Global BalancedT AT0000A15MS0EU
- Global DynamicTAT0000A08Q96EU 139,
- GlobalHealth Care AT0000721501 EU 15,
- Global ResourcesAAT0000A0GTZ4EU 50,
- Global ResourcesTAT0000A0GU03EU 53,
- Kurzinvest (T) AT0000820469EU 87,
- KurzinvestAAT0000944806EU 63,
- Realzins PlusAAT0000672258EU 90, http://www.ersteimmobilien.at, Am Belvedere 1, 1100 Wien
- Realzins PlusTAT0000672266EU130,
- SB Aktien Europe AT0000721444EU9,
- SB Aktien EuropeTAT0000A2C2D0EU9,
- Sch. Akt. DivideAAT0000A1KTN0EU 95,
- Sch. Akti.DivideTAT0000A1KTP5EU 102,
- Schoel. Gl. Inc.AAT0000A1XAW4 EU 9466,
- Schoell.Gl. Inc.TAT0000A1XAX2 EU 9592,
- USD RentenfondsAAT0000841184 US 63,
- USD RentenfondsTAT0000820436US 106,
- Vorsorgefon (T) AT0000820402 EU 120,
- VorsorgefondsAAT0000902424 EU 59,
- Zinsstruktur PlusA AT0000497409EU 99,
- Zinsstruktur PlusT AT0000497417EU 124,
- Aktiva SBI (A)* AT0000729173EU92,35 89, Sparkasse Oberösterreich KAG
- Aktiva SBI (T)* AT0000729181 EU114,64 111,
- AustroMündelRent A* AT0000801253 EU 76,32 74,
- AustroMündelRent T* AT0000801246 EU133,20 129,
- AustroRent (T)* AT0000859806 EU121,21 118,
- AustroRent A* AT0000859814 EU 70,85 69,
- BarReserve (T)* AT0000952486 EU 95,45 94,
- BarReserve A* AT0000952494 EU 62,43 61,
- Bond SBI* AT0000811443 EU111,10 107,
- BusinessBond (A)* AT0000723176 EU 83,38 80,
- BusinessBond (T)* AT0000723168 EU134,77 130,
- ClassicBond (A)* AT0000497672 EU109,70 107,
- ClassicBond (T)* AT0000497680 EU138,50 135,
- DollarReserve(T)* AT0000998943 US153,55 151,
- DollarReserveA*AT0000998950 US100,40 99,
- Equity SBI* AT0000811427 EU108,79 105,
- EuroPlus 50 (A)* AT0000802418 EU 53,22 51,
- EuroPlus 50 T* AT0000802400 EU 71,19 69,
- GermanRent (A)* AT0000971072 EU405,42 400,
- GermanRent (T)* AT0000971064 EU687,67 679,
- InterBond (T)* AT0000859822 EU115,68 111,
- InterBond A* AT0000859830 EU 61,01 58,
- InterStock (T)* AT0000859848 EU200,27 192,
- InterStock A* AT0000859855 EU174,92 168,
- Master SBI „A“* AT0000745161 EU131,21 127,
- Master SBI „B“* AT0000745179 EU126,66 122,
- Master SBI „C“* AT0000745187 EU120,87 117,
- money&CoBest Of* AT0000675475 EU173,02 167,
- money&CoEquity* AT0000675483 EU186,88 179,
- sEconomic (T)* AT0000A0U4R6 EU114,77 110,
- sEmerging (T)* AT0000A0K1H5 EU 93,50 89,
- sEthikAktien (A)* AT0000681176 EU114,98 109,
- sEthikAktien (T)* AT0000681168 EU128,03 121,
- sEthikBond (A)* AT0000681192 EU103,34 99,
- sEthikBond (T)* AT0000681184 EU137,65 132,
- sEthikMix (A)* AT0000A1X9Z4 EU 96,14 92,
- sEthikMix (T)* AT0000A1XA05 EU 96,87 93,
- sGeneration (T)* AT0000A0JGB6 EU101,28 97,
- sPensionsvorsorge* AT0000801261 EU141,11 137,
- sProtect Strategie* AT0000A02052 EU 96,64 93,
- sRegionenFonds (A)* AT0000A0XPC6 EU 99,38 96,
- sRegionenFonds (T)* AT0000A0XPE2 EU103,12 100,
- sReserve (A)* AT0000A0E0X2 EU 93,27 92,
- sReserve (T)* AT0000A0E0Y0 EU 99,82 99,
- sTop AktienWelt A* AT0000A1L8Z0 EU 87,78 84,
- sTop AktienWelt T* AT0000A1L908 EU 95,21 91,
- Trend SBI* AT0000745153 EU 54,48 52,
- ViennaStock(T)* AT0000952460 EU168,32 163,
- ViennaStockA*AT0000952478 EU142,57 138,
- immofonds 1* AT0000632195EU102,87 99, Union Investment Real Estate Austria AG
- immofonds1T*AT0000A0S392 EU 123,14 119,
- Asia Pacific Equ T* LU0011963245US63, Ausland
- ChinaAShEqAAcc*LU1146622755US13,
- Em Mkts Corp Bd A* LU0566480116US12,
- Em Mkts EqAAcc* LU0132412106US49,
- Europ Sm CompAAcc* LU0306632414EU21,
- European EqAAcc* LU0094541447EU48,
- Front Mkts BdADis* LU0963865083US 7,
- Multi Asset Grth T* LU1402171232 EU 9,
- AdifondsA DE0008471038 EU 89,
- Aktien Europa A* DE0008471483 EU 65,
- ConcentraADE0008475005 EU 84,
- EuropazinsADE0008476037 EU 54,
- Flexi Rentenf.ADE0008471921 EU 84,
- FondakADE0008471012 EU 130,
- GlobalEq.DividADE0008471467 EU 88,
- IndustriaADE0008475021 EU 77,
- InterglobalADE0008475070 EU 294,
- Kapital PlusADE0008476250 EU 59,
- Mobil-FondsADE0008471913 EU 48,
- Nebw. Deutschl.A DE0008481763 EU 227,
- RentenfondsADE0008471400 EU 84,
- RohstofffondsADE0008475096 EU 40,
- Verm. Deutschl.ADE0008475062 EU 122,
- Wachstum EurolADE0009789842 EU 96,
- Wachstum EuropaADE0008481821 EU 102,
- Dyn Mu Ass Str15ALU1089088071 EU 102, ALLIANZGLOBALINVESTORS GMBH, LUXEMBOURG BRANCH
- Dyn Mu Ass Str50ALU1019989323 EU 117,
- Enh ShTerm Euro AT LU0293294277 EU 106,
- Euro BondALU0165915215 EU 11,
- Europe SmCap EqALU0293315023EU 151,
- European Eq Div AT LU0414045822 EU 194,
- Glb Agricult Tr.ALU0342688198 EU 114,
- Glb ArtIntellig AT LU 15484 97772 EU 105,
- Glb Mu-Ass Cre-AH2 LU1480268660 EU 85,
- Glb SmCap Eq AT LU0963586101US9,
- Amp Global Aktien DE0009847301 EU 11,75 11,
- Amp Global Renten DE0008481086 EU 17,95 17,
- Amp ISP Dynamik DE000A0NBPM2 EU105,65 101,
- Amp ISP KomfortDE000A0NBPL4EU103,88 100,
- Amp ISP Sprint DE000A0NBPN0 EU121,81 116,
- Amp Rendite RentenDE0008481052EU21,10 20,
- Amp ReserveRentenDE0008481144 EU 49,37 48,
- terrAss AktIAMI DE0009847343 EU 27,31 26,
- Zan.Eu.Cor.B.AMI I* DE000A0Q8HQ0 EU113,01 113,
- Zan.Gl.Cred AMI Ia* DE000A1J3AJ9 EU102,22 102,
- Zantke Eu.HY AMI Ia* DE000A0YAX49 EU104,10 104,
- Akrobat-EuropaALU0138526776EU 197, AXXION S.A.
- Akrobat-EuropaBLU1221107615 EU 99,
- Dual -V Microfin-I* LU0306115196EU144,
- Dual -V Microfin-P* LU0236782842EU136,
- DUAL-V Microfin-A* LU0563441798EU 98,
- DUAL-V Microfin-B* LU0846183142CH 92,
- DUAL-V Microfin-B* LU0563441954EU 101,
- DUAL-V Microfin-I* LU0306116830 CH 110,
- DUAL-V Microfin-I* LU0306116160 US 127,
- DUAL-V Microfin-P* LU0236783907 CH 107,
- DUAL-V Microfin-P* LU0646936202 US 117,
- PVM -Flex CapILU0328540108 EU 47,
- PVM -Flex CapPLU0328540017EU 46,
- PVM -Flex CapSLU0328540280EU 48,
- Abs.Ret.LV Bd.* LU0823447643EU95,
- Asia Ex-Jap Bd.* LU0823379622US156,
- Asia Ex-Jap Eq.* LU0823397368EU564,
- Bd L1 Multi As. In* LU1056594317EU86,
- Bd World Plus* LU0011928255EU1705,
- Brazil Eq.* LU0265266980US61,
- (Erste Bank). http://www.bnpparibas-am.com und bei der Zahlstelle
- Global A* LU0067889476US30,67 28, Fax: +49 69 263-14186 [email protected]
- Value Fund A* LU0067888072US43,59 41,
- DJE-Asia Hi Div PA LU0374456654EU181,27 172,
- DJE-Asia Hi Div XP LU0374457033 EU211,39 211,
- DJE-Div&Sub IH-CHF LU0383655254 CH167,42 167,
- DJE-Zins&Divid PA LU0553164731 EU142,48 137,
- DJE-Zins&Divid XT LU1794438561 EU 98,81 98,
- Em. Mkt Fix Inc. A* LU0084664241 US 20,
- Em. Mkt Fix Inc. A* LU0251933858EU 15,
- Em. Mkt Fix Inc. I* LU0111635727US 19,
- Em. Mkt Fix Inc.AX* LU0168400413US 22,
- Em. Mkt Fix Inc.IX* LU0168401650US42,
- Opp.Eq. Fd A* LU0037722500US 94,
- Opp.Eq. Fd A* LU0140785683EU 85,
- Opp.Eq. Fd I* LU0111633276US 119,
- ACATIS FV Akt.Gl.* LI0017502381 EU188,44 179,
- BW Gl Def. HY S(IH)*IE00BDR6ZQ25 EU 74, LEGG MASON GLOBALFUNDS PLC
- BW Gl Dyn.US Eq. A* IE00BSBN5Q47US100,
- BW Gl Fi In Prt* IE00B3QRTV97EU132,
- BW GlCredOp A* IE00BYSFF105 EU 97,
- BW GlFixIn AbRe Ah* IE00B9QN6415EU85,
- BW GlSovCred A* IE00BZB1X857US85,
- CB TacDivInc At* IE00BBT3K403US88,
- CB US Ag Gr At* IE00B19Z9Z06US155,
- CB US Appr At* IE00B1BXHZ80US184,
- CB US Eq Sust.L A(A)* IE00BZ1G4Q59US 139,
- CB US LCapGr At* IE00B19Z9505 US 253,
- CB Value At* IE00B19Z3581 US 77,
- EnT Gl Alt Inc Str A* IE00BXRTL850 EU 87,
- LM BW GlIncOptA€*IE00B7VSFQ23 EU 95,
- LM RARE EM Infr X€* IE00BDBYBQ42 EU 58,
- LM WA EM LCDpt AU$* IE00B52QP169 US 90,
- LM WA Gl HYAEuro* IE00B7VSM832EU96,
- MC As L-T Unc M€da IE00BYWVL052EU 13,
- http://www.ifmfunds.com Telefon: IFM Independent Fund Mgmt. AG
- Tel.: 0049/6526/92920Fax:0049/6526/929 Noramco AG
- Asian Bonds DE0008484429 EU 70,88 68, [email protected] http://www.noramco.de
- Real Protect DE0008484452 EU 93,41 91,
- Real ProtectRDE000A1XDW13 EU 91,18 89,
- Real ReturnDE0008484361 EU550,10 539,
- Ab.Ret FxIn.PX USD* LU1115920982 US 158,
- Ab.Ret FxInc.I USD* LU0988401922 US 113,
- Ab.Ret FxInc.J dyU* LU1346073940 US 106,
- Ab.Ret FxInc.PUSD* LU0988402060 US 161,
- Ab.Ret FxInc.RUSD* LU0988402490 US 108,
- Ab.Ret FxInc.ZX USD* LU0988402573 US 118,
- Ab.Ret FxIncHI CHF* LU0988403381 CH 95,
- Ab.Ret FxIncHI dyG* LU1256216786 GB 61,
- Ab.Ret FxIncHI EUR* LU0988402656EU106,
- Ab.Ret FxIncHI GBP* LU0988403894GB67,
- Ab.Ret FxIncHIXEUR* LU1115921287EU105,
- Ab.Ret FxIncHJ dyE* LU1346074161EU 103,
- Ab.Ret FxIncHJ dyG* LU1256216604 GB 62,
- Ab.Ret FxIncHJ EUR* LU1256216513EU111,
- Ab.Ret FxIncHP CHF* LU0988403209CH154,
- Ab.Ret FxIncHP dyE* LU0988402813EU 89,
- Ab.Ret FxIncHP EUR* LU0988402730EU101,
- Ab.Ret FxIncHP GBP* LU1128766778GB65,
- Ab.Ret FxIncHR dmE* LU1498412292EU 90,
- Ab.Ret FxIncHR EUR* LU0988402904EU96,
- Ab.Ret FxIncHZX dyE* LU1512550358EU 105,
- Ab.Ret FxIncHZX EUR* LU0988403035 EU 113,
- Ab.Ret FxIncPdUSD* LU0988402227 US 101,
- As.Eq.Ex-JapIJPY* LU1173876233 JP
- As.Eq.Ex-JapPEUR* LU0255976994 EU 201,
- Asn Loc.Cur.Deb-P$ LU0255797556 US 152,
- Asn Loc.Cur.Deb-Z€* LU0472927606 EU 157,
- Biotech HP CHF* LU0843168732 CH 539,
- BiotechPEUR LU0255977455 EU 642,
- BiotechPUSD LU0090689299 US 689,
- CHF BondsICHF* LU0135487147 CH 483,
- CHF BondsJCHF* LU1353454074 CH 485,
- CHF BondsJdyCHF* LU1604475167 CH 475,
- CHF BondsPCHF* LU0135487659 CH 461,
- CHF BondsPdyCHF* LU0235319760 CH 376,
- CHF BondsRCHF* LU0135487733 CH 437,
- CHF BondsZCHF* LU0226301058 CH 121,
- Chin.Loc.Cur.Deb* LU1164802982 CN 743,
- Clean EnergyP$ LU0280430660US77,
- Digital HP* LU0474967303 EU 251,
- Digital HR* LU0474967485 EU 224,
- Digital P* LU0101692670 US 306,
- Digital Z* LU1225778056 EU 347,
- Em.Euro.P€ LU0130728842 EU 285,
- Em.Loc.Cur.DebP$*LU0255798109 US 143,
- Em.Mrkts HDRUSD* LU0725970874 US 68,
- Em.Mrkts IdxPUSD* LU0188499254US209,
- Em.MrktsPEUR* LU0257359355EU411,
- Em.MrktsPUSD* LU0130729220US444,
- EUR Bonds HI JPY* LU1164803360JP8
- EUR Bonds HI USD* LU1151372718US809,
- EUR Bonds J* LU1432512843EU625,
- EUR Bonds P* LU0128490280EU564,
- EUR Corp.Bonds HR* LU0829098697CH251,
- EUR Corp.Bonds P* LU0128470845EU186,
- EUR Governm.Bd. HJ* LU1164803790GB 119,
- EUR Governm.Bd. J* LU1164804095 EU 173,
- EUR Governm.Bd. P* LU0241467587 EU 167,
- EUR Hi. Yield HI* LU1411311761 JP
- EUR Hi. Yield HR* LU1147738592 US 241,
- EUR Hi. Yield HZ* LU0969522449 CH 317,
- EUR Hi. Yield I* LU1417284 582 EU 181,
- EUR Hi. Yield P* LU0133807 163 EU 212,
- Glob.Env.OppZ* LU1164803287US226, Tel. +41(0) 58 323 30 00 http://www.pictetfunds.com
- GlobalBd.PEUR* LU0303495120EU178,
- GlobalBd.PUSD* LU0133805894US192,
- Great.ChinaPEUR LU0255978347EU506,
- Great.ChinaPUSD LU0168449691US543,
- HealthPEUR* LU0255978776 EU 222,
- HealthPUSD* LU0188501257 US 239,
- HealthZEUR* LU1225778213EU262,
- Indian Eq.PEURLU0255979071EU359,
- Indian Eq.PUSDLU0070964530US385,
- Ja.Eq.Opp.PEUR* LU0255979402EU68,
- Ja.Eq.Opp.PJPY* LU0095053426JP8082,
- Ja.Eq.Sel. HI GBP* LU1143262837GB66,
- Ja.Eq.Sel. HP USD* LU1240748514US97,
- Ja.Eq.Sel.IGBP* LU1143263215GB99,
- Ja.Eq.Sel.PEUR* LU0255975830EU98,
- Ja.Eq.Sel.PJPY* LU0176900511JP1
- Japan Idx HZ EUR* LU1401283681EU124,
- Japan IdxPJPY* LU0148536690JP1
- L.A.Loc.Cu.DPCHF* LU0843168229CH101,
- L.A.Loc.Cu.DPUSD* LU0325327723US103,
- M.A.Gl.Opp.HI CHF* LU1368233539CH125,
- M.A.Gl.Opp.HI GBP* LU1368233885GB95,
- M.A.Gl.Opp.HI USD* LU1368232648US143,
- M.A.Gl.Opp.HP CHF* LU1368233612CH121,
- M.A.Gl.Opp.HP GBP* LU1368234008GB93,
- M.A.Gl.Opp.HP USD* LU1368233026US139,
- M.A.Gl.Opp.HZ USD* LU1368233372US146,
- M.A.Gl.Opp.HZX USD* LU1373292801US146,
- M.A.Gl.Opp.I EUR* LU0941348897EU117,
- M.A.Gl.Opp.IX EUR* LU1115920552EU117,
- M.A.Gl.Opp.Jdy USD* LU1368234263GB 90,
- M.A.Gl.Opp.P EUR* LU0941349192EU114,
- M.A.Gl.Opp.Pdy EUR* LU0950511468EU 112,
- M.A.Gl.Opp.PX EUR* LU1115920636 EU 113,
- M.A.Gl.Opp.R EUR* LU0941349275 EU 107,
- M.A.Gl.Opp.Rdm EUR* LU1116037828 EU 95,
- NutritionPEUR LU0366534344EU180,
- Pac.ExJa.IdxPUSD* LU0148538712US305,
- Pict.-USA I-HZ EUR* LU1401197097EU194,
- Prem.Brands HI USD* LU1151369680US 199,
- Prem.BrandsHPCHF* LU0843168815 CH 152,
- Prem.BrandsPEUR* LU0217139020 EU 131,
- Prem.BrandsPUSD* LU0280433847 US 142,
- Robotics HI CHF* LU1577726869 CH 123,
- Robotics HI EUR* LU1279334723 EU 115,
- Robotics HP CHF* LU1577726786 CH 119,
- Robotics HP EUR* LU1279334996 EU 111,
- Robotics HR EUR* LU1279335027 EU 108,
- RoboticsIEUR* LU1279334053 EU 133,
- RoboticsIUSD* LU1279333329 US 144,
- Robotics Idy USD* LU1279333592 US 144,
- RoboticsPEUR* LU1279334210 EU 129,
- RoboticsPUSD* LU1279333758 US 139,
- RoboticsPUSD* LU1279333675 US 139,
- RoboticsREUR* LU1279334483 EU 125,
- RoboticsRUSD* LU1279333832 US 135,
- RoboticsZEUR* LU1482134290 EU 138,
- RoboticsZUSD* LU1279333915 US 151,
- Russian Equ.PEUR LU0338483075 EU 51,
- Russian Equ.IdyUSD* LU1574075039 US 50,
- SecurityPEUR LU0270904781EU201,
- SecurityPUSD LU0256846139US215,
- SecurityZEUR* LU1225778304EU224,
- Sh.T.Em.Corp.Bd HI* LU1055198003CH86,
- Sh.T.Em.Corp.Bd HI* LU1055198771EU73,
- Sh.T.Em.Corp.Bd HI* LU1391855282EU 63,
- Sh.T.Em.Corp.Bd HJ* LU1582338601CH 78,
- Sh.T.Em.Corp.Bd HJ* LU1574073844EU 65,
- Sh.T.Em.Corp.Bd HP* LU1055198268CH83,
- Sh.T.Em.Corp.Bd HP* LU1055198938EU70,
- Sh.T.Em.Corp.Bd HR* LU1055198425CH81,
- Sh.T.Em.Corp.Bd HR* LU1055199159EU68,
- Sh.T.Em.Corp.Bd I* LU1063456278JP1
- Sh.T.Em.Corp.Bd I* LU1055195918US111,
- Sh.T.Em.Corp.Bd P* LU1055196213US107,
- UniEuropa-net-* DE0009750232 EU 54,20 54,
- UniEuroRenta* DE0008491069 EU 67,01 65,
- UniEuroRentaHigh Y* DE0009757831 EU 30,26 29,
- UniFav.:Akt. -net-* DE0008007519 EU 78,93 78,
- UniFavor: Aktien I* DE000A0M80M2 EU138,33 138,
- Unifavorit: Aktien* DE0008477076 EU130,65 124,
- UniFonds* DE0008491002 EU 38,35 36,
- UniFonds-net-* DE0009750208 EU 54,79 54,
- UniGlobal* DE0008491051 EU204,30 194,
- UniGlobal-net-* DE0009750273 EU117,23 117,
- UniInst Pr Corp Bd* DE0005326599 EU 58,34 58,
- UniJapan* DE0009750125 EU 47,67 45,
- UniKapital*DE0008491085 EU107,16 105,
- UniKapital-net-* DE0009750174 EU 38,37 38,
- UniNachhaltAGlI *DE000A2H9AX8 EU 96,12 91,
- UniNachhaltigAGl* DE000A0M80G4 EU 92,53 88,
- UniNordamerika* DE0009750075 EU294,53 280,
- UnionGeldmarktfds* DE0009750133 EU 47,73 47,
- UniRak* DE0008491044 EU109,96 106,
- UniRak Kons.-net-A* DE000A1C81D8 EU 99,63 99,
- UniRak Konserva A* DE000A1C81C0 EU102,82 100,
- UniRak -net-* DE0005314462 EU 57,52 57,
- UniRenta* DE0008491028 EU 21,04 20,
- UniSel. Global I* DE0005326789 EU 62,83 61,
- UniStrat: Ausgew.* DE0005314116 EU 55,42 53,
- UniStrat: Dynam.* DE0005314124 EU 43,96 42,
- UniStrat: Konserv.* DE0005314108 EU 64,62 62,
- UniStrat:Offensiv* DE0005314447 EU 40,40 39,
- Aktien Euro-net- A* LU1572730783 EU 76, UNION INVESTMENT (LUXEMBOURG)
- Aktien Europa A* LU1572664461EU 77,
- Euro Subord. Bnds* LU1063759929EU 95,
- Gl. Corp. Bd Sust.* LU1089802497EU 94,
- LIGA Portfolio Con* LU1172417856EU 37,
- LIGA-Pax-Cattol.-U* LU0152554803EU 121,
- LIGA-Pax-Corp.-U.* LU0199537852 EU 39,
- LIGA-Pax-La.-U2022* LU1172828052EU 90,
- PrivatFonds: Nachh* LU1900195949EU 49,
- PrivFd:Konseq.* LU0493492200EU95,
- PrivFd:Konseq.pro* LU0493584741EU106,
- Quo-Europ Eq Dyn I* LU1120174377EU 856,
- Quo-Gl Cred MiRi I* LU1120174708 EU 867,
- Quo-Gl Eq MiRi hg I* LU1120174617 EU 993,
- Quon.EM Eq MinRisk* LU0489951870 EU 105,
- Quon.EM EqMinRi.UI* LU0612194984 US 78,
- Quon.EM EqMinRiskC* LU0812874229CH 76,
- Quon.EM EqMinRiskE* LU1120174450EU 793,
- Quon.EM EqMinRiskG* LU1120174534 GB 998,
- UI Conver. Prot.* LU0200666799 EU 72,
- UI IMMUNO Nachh.* LU0300981452EU 86,
- Uni.Eur. M&S.Caps* LU0090772608EU 36,
- UniAbsoluterEnet-A* LU1206679554EU 41,
- UniAbsoluterErt. A* LU1206678580EU 41,
- UniAnlageMix: Kon* LU1953916704EU 93,
- UniAsia* LU0037079034 EU 60,
- UniAsiaPac.net* LU0100938306EU 107,
- UniAsia Pacific A* LU0100937670 EU 104,
- UniAusschü.net- A* LU1390462262 EU 41,
- UniAusschüttung A* LU1390462189EU 40,
- UniCommodities* LU0249045476EU 30,
- UniDividAss net A* LU0186860663EU 39,
- UniDividendenAss A* LU0186860408EU 39,
- UniDyn.Eur-net A* LU0096427066EU 48,
- UniDyn.Europa A* LU0085167236EU 79,
- UniDyn.Gl.-net-A*LU0096426845EU 36,
- UniDynamic Gl. A* LU0089558679EU 57,
- UniEM Fernost* LU0054735278EU 1183,
- UniEM Osteuropa* LU0054734388 EU 1445,
- UniEMGlobal* LU0115904467 EU 65,
- UniEuRe 5J* LU0194854047EU51,
- UniEuRe Corp A* LU0117072461EU 46,
- UniEuRe Corp M* LU0117073196EU
- UniEuRe EM 2021* LU1101650056 EU 94,
- UniEuRe EM2021netA* LU1101672530EU 94,
- UniEuRe Emerg Mkt* LU0149266669EU 37,
- UniEuRe Real Zins* LU0192293511EU 56,
- UniEuRe RealZins n* LU0192294089EU 57,
- UniEuRe Unan A* LU1101707187EU 94,
- UniEuRe Unan-net-A* LU1101736442EU 94,
- UniEurKap Corp-A* LU0168092178EU 34,
- UniEurKap.Co.net A* LU0168093226EU 35,
- UniEuroAnleihen* LU0966118209EU 54,
- UniEuroAspirant* LU0097169550EU 36,
- UniEuroKapital* LU0046307343EU 62,
- UniEuroKapital-net* LU0089559057EU 40,
- UniEuropa* LU0047060487EU 1629,
- UniEuropaRenta*LU0003562807 EU 47,
- UniEuroSt.50A*LU0090707612EU 37,
- UniEuroSt.50-net* LU0096427496EU 31,
- UniExtra EuroSt.50* LU0186860234EU 65,
- UniFavorit: Renten* LU0006041197EU 20,
- UniGlobal Div A* LU1570401114EU 89,
- UniGlobal Div-netA* LU1570401544EU 88,
- UniGlobal II A* LU0718610743EU 84,
- UNIINST.GL.CONVERT* LU0993947141EU 102,
- UniInst.S.-TCredit* LU0175818722 EU 43,
- UNIINSTASIANBDCUR* LU1087802150EU 81,
- UniInstitut CoCo B* LU1088284630EU 76,
- UniMarktf. A* LU0103244595EU 41,
- UniMarktf. -net- A* LU0103246616EU 42,
- UniOpti4* LU0262776809 EU 96,
- UniOptima* LU0051064516 EU 713,
- UniOptimus-net-*LU0061890835 EU 676,
- UniRak EM net A* LU0383775664 EU 122,
- UniRak Em. Mkts* LU0383775318 EU 124,
- UniRak Nachh.A net* LU0718558728 EU 71,
- UniRak NachhaltigA* LU0718558488EU 73,
- UniRak Nor -net- A* LU1557100630EU 52,
- UniRak Nordamera A* LU1557100556EU 51,
- UniRent Mündel* LU1572617469EU 96,
- UniRenta Corp A* LU0039632921EU 92,
- UniRentEuro Mix* LU1572735071EU 95,
- UniRes:Euro Corp.* LU0247467987EU 39,
- UniReserve: Euro A* LU0055734320EU 489,
- UniReserve:USD* LU0059863547 US 1040,
- UniSec. Bas. Ind.* LU0101442050 EU 78,
- UniSec.BioPha.* LU0101441086EU 113,
- UniSec. High Tech.* LU0101441672 EU 100,
- UniVa. Europa A* LU0126314995 EU 33,
- UniVa. Global A* LU0126315885EU 80,
- UniVa.Euro.-net-A* LU0126315372EU 34,
- UniVa.Glb-net-A* LU0126316180EU 79,
- UniWirts.Aspirant* LU0252123129EU 23,
- Freitag, den 20.03. Tägliche Veröffentlichung der Anteilspreise–mitgeteilt von vwd
- Sh.T.Em.Corp.Bd P* LU1055196304US 89, Ausg.Rückn.
- Sh.T.Em.Corp.Bd R* LU1055196726US104,
- Sh.T.Em.Corp.Bd Z* LU1055197021US115,
- Sh.-T.Hi Yield I* LU1417285472EU 84,
- Sh.-T.Hi Yield P* LU1391855019EU 91,
- Sh.-Term M.MktPLU0128494191EU134,
- Sh.-Term M.Mkt P* LU0309035441JP1
- Sh.-Term M.MktPLU0128496485US142,
- ShT.EmLoCuDeHidy* LU1087921752GB 44,
- ShT.EmLoCuDePUSD* LU0366532561US88,
- Sm.Cap Euro.PEUR LU0130732364EU890,
- Smartcity HP USD* LU1116037588US196,
- SmartCity HPdy USD* LU1116037661US 165,
- SmartCity HR USD* LU1112798613 US 185,
- SmartCity HRdy USD* LU1112798969 US 156,
- SmartCityPEUR* LU0503634221 EU 145,
- Sov. S-T M.MktPLU0366536711 EU 99,
- Sov. S-T M.MktPLU0366537446 US 108,
- TimberPEUR* LU0340559557 EU 104,
- TimberPUSD* LU0340557775 US 113,
- TimberZEUR* LU1225778643 EU 120,
- US Hi.YieldPUSD* LU0448623107 US 137,
- USA IdxPUSD* LU0130732877 US 219,
- USD Governm.Bd. P* LU0128488383 US 699,
- USD GovernmBdHI EU* LU1226265632 EU 591,
- USD GovernmBdHI SE* LU1487956226 SE 5249,
- USD GovernmBdHPdyE* LU1256216356 EU 314,
- USD Sh.Mid T.Bd. P* LU1361553693 EU 127,
- USD Sh.Mid T.Bd. P* LU0175073625 US 136,
- Water HP CHF* LU0843168575 CH 332,
- WaterP€*LU0104884860 EU 287,
- WaterPUSD* LU0255980327 US 310,
- Rob BP USLaCa E.D* LU0474363974 EU 225,
- Rob BP USLaCa E.DH* LU0510167264 EU 42,
- Rob BP USPrem.E.D* LU0226953718 US 190,
- Rob BP USPremE.DH* LU0320896664 EU 154,
- Rob ChineseEq. D* LU0187077309 EU 93,
- Rob Em Mkts Eq D* LU0187076913 EU 153,
- Rob Gl TotRet BdDH* LU0934195610 EU 57,
- Rob HighYield DH* LU0085136942 EU 122,
- Robeco AlStr.€BdDH* LU0085135894 EU 93,
- Robeco AsiaPac.EqD* LU0084617165 EU 118,
- RobecoBPGlPrEq D* LU0203975437 EU 192,
- RobecoCon.Tr.Eq.D* LU0187079347 EU 218,
- RobecoFlex-RenteD* LU0230242504 EU 102,
- RobecoGlStarsEq D* LU0387754996 EU 274,
- Robeco N.V. A* NL0000289783 EU 36,
- Robeco N.Wld.Fin.D* LU0187077481EU50,
- Robeco Prop.Eq. D* LU0187079180EU135,
- RobecoSAM SuEuEq.D* LU0187077218EU44,
- RolincoN.V. A* NL0000289817 EU 36,
- SC Argos LU0137341789EU131,38 127,
- SC Priamos LU0137341359 EU131,20 124,
- SC Strategy1LU0350239504 EU128,33 124,
- BF AUD AA* LU0141247303 AU 130,
- BF CAD AA* LU0141247725 CA 137,
- BF COCO DTH* LU1495639384 EU 139,
- BF EUR AA* LU0141248459 EU 70,
- BF Gl AR H€A* LU0957586737EU 76,
- BF Gl Convert ATH* LU0556184025EU114,
- BF Gl Corp ATH€* LU0494188096EU129,
- BF Gl Cred Opp AAH* LU0957594590EU 86,
- BF International AA* LU0081697723CH 78,
- BF Secured HY H€A* LU1057798958EU 72,
- BF ShTm Gl HY H€A* LU0830970272EU 66,
- EF Gl Energy AT* LU0102843504EU347,
- EF Gl Inno Lead AT* LU0102842878EU274,
- EF Gl Water Inv AT* LU0302976872EU167,
- EF GrInv EM AT* LU0338548034US99,
- EF S&M Cap Jap AT€* LU0644935313EU197,
- EF Sel Intern AT€* LU0644935669EU170,
- EF Sel NorthAm AT€* LU0644935826EU 227,
- EF Top Div Eurp AA* LU0230112392 EU 82,
- PF Resp Amb (€) AA* LU0161533970EU 116,
- Pf Resp Sel (€) AA* LU0112799290 EU 108,
- PF Sust Bal (€) AA* LU0208341965 EU 105,
- Ptf Resp Bal (€) AA* LU0112804983 EU 118,
- Europ. MinRisk Eq.* DE0009750554 EU 60,17 60,
- KCD Uni.Renten+*DE0005326524 EU 51,26 51,
- LIGA-Pax-Rent-Unio* DE0008491226 EU 25,81 25,
- Priv.Fonds:Flex.* DE000A0Q2H14 EU 92,31 92,
- Priv.Fonds:FlexPro* DE000A0RPAL7 EU112,53 112,
- PrivFd:Kontr.* DE000A0RPAM5 EU120,38 120,
- PrivFd:Kontr.pro* DE000A0RPAN3 EU135,49 135,
- Uni21.Jahrh.-net-* DE0009757872 EU 26,99 26,
- UniDeutschl. XS* DE0009750497 EU124,88 120,
- UniDeutschland* DE0009750117 EU141,77 136,
- UniEu.Renta-net-* DE0009750240 EU 53,11 53,
- UniEuroAktien* DE0009757740 EU 53,81 51,
- Tel.: 00352/26 40-6400Fax: 00352/26 40-
- http://www.swisscanto.atTel. +49 anderen ausgewähltenVertriebspartnern
- Portfolio AktienanteilKurs zum 31.12.18 Kurs zum 31.12.19 Kurszum 29.02. The Netherlands
- Sicherheitsklasse ca. 25% 17,20 18,37 18,
- Balanceklasse ca.50% 16,92 18,94 18,
- Dynamikklasse ca. 75% 16,16 18,96 18,
- Aktivklasse ca. 100% 11,44 14,04 13,
- A25 ca. 25% 11,72 12,52 12,
- A50 ca.50% 11,72 11,99 11,
- A75 ca. 75% 10,05 11,79 11,
- A100 ca. 100% 8,59 10,54 9,
- 1011 Wien, Landskrongasse 1- GeneraliVersicherung AG
- T+43 153401 0,F+43 generali.at
- Climate Impact* LU0406802339EU153, Weitere Fonds-Infos auf http://www.derStandard.at/Fonds Alle Angaben ohne Gewähr
- Em Bd.* LU0089276934US372,
- Enhanced Bd. 6M* LU0325598323EU 98,
- Euro Corp Bd.* LU0131210360EU179,
- Euro Eq.* LU0823401574EU391,
- Euro Inflat Bd.* LU0190304740EU 109,
- Europe Convert* LU0086913125 EU 158,
- Europe Em Eq.* LU0823403356 EU 80,
- Europe Eq.* LU0823399810 EU 169,
- Europe Real Est* LU0283511359 EU 210,
- Europe SCap* LU0212178916 EU 159,
- Flex Gl Credit* LU1104108243 EU 94,
- Gl Convert* LU0823394936 EU 75,
- Gl Inflation Bd.* LU0249332619EU138,
- Gl Low Vol Eq.* LU0823417810EU72,
- India Eq.* LU0823428932US98,
- Japan Eq.* LU0012181748JP3749,
- Japan SCap* LU0194438841EU117,
- Quant Eq Eur Guru C* LU0774754435EU175,
- Russia Eq.* LU0823431720 EU 102,
- Sust Euro Corp Bd C* LU0265288877EU139,
- Target Risk Bal* LU0089291651EU234,
- Turkey Eq.* LU0265293521EU99,
- US Growth* LU0823434583US79,
- US Mid Cap C* LU0154245756US160,
- US SCap* LU0823410997US171,
- WS One FirstSel C* LU0198587825EU10, WORLDSELECT ONE
- MC Eur.Abs.aA(PF) IE00BYN5TY60 EU 80, http://www.es-investments.com
- QS Em Mk Eq At* IE00B19ZCD91 EU 77,
- QS MV EuEq GIF At* IE00B19Z4555 EU 135,
- QS MV GlEq GIF At* IE00B50TT482 US 130,
- QSMV APexJ EqGIFAt* IE00B19Z5Y19 EU 96,
- RARE Infr Val A€A* IE00BD4GTQ32 EU 9,
- Roy.USSCapOp At* IE00B19Z4B17 US 107,
- Royce US SmCo At* IE00B19Z6F94 US 114,
- WA Asian Op At* IE00B2Q1FK59 EU 220,
- WA ECore+Bd Aa(D)* IE0031616257 EU 105,
- WA Em Mk TRB At H* IE00B556RB79 EU 116,
- WA EmMkt CorpBd At* IE00B3Q8Z253 US 98,
- WA Eur HYAa(D)* IE00B52PL269 EU 82,
- WA Gl Credit At(H)* IE00B50TKH87EU114,
- WA GlMStAa(M) H* IE00B23Z7K49EU 72,
- WA GlCore+Bd Aa(A)* IE00BSBN5Y21US 97,
- WA Inf.M. Aa(A)* IE00B1BXHR07US 113,
- WA Macro OpBd Aa* IE00BSBN6725 EU 89,
- WA Multi-Asset Cr. A* IE00BYQ9K646EU86,
- WA ShD BChip At H* IE00B4Y6F514EU94,
- WA ShD HI BF AtH* IE00B23Z9W01EU113,
- WA US Cor+BdAt* IE00B19Z7Y58US150,
- WA US CorBd At* IE00B19Z3K33US134,
- WA US Gov.Liq A* IE00B19Z6R17US109,
- WA US HY Aa(D)*IE0034203152US 64,
- AsiaPacific DE0008 484072 EU124,50118,
- EUR S.T.Corp.Bd. I* LU1586034545EU 96, Tel: +49-69 15 30 93 020 http://www.nomura-asset.de
- EUR S.T.H.Y.HI JPY* LU0803468593JP1
- EUR Sh.Mid T.Bd. P* LU0167158327EU130,
- Euro.Eq.Sel.PEUR LU0130731986EU449,
- Euro.Sus.Eq.PEUR LU0144509717EU217,
- Euroland IdxPEUR* LU0255980913EU112,
- Europe IdxPEUR* LU0130731390EU147,
- Gbl.D.Eq.P dy USD* LU0845339711US 136,
- Gbl.D.Eq.R dm EUR* LU1372850294 EU 114,
- Gbl.D.Eq.Z EUR* LU0845340487 EU 145,
- Gbl.D.Eq.Z USD* LU0845339984 US 157,
- Gl Def EqIdyE UR* LU1572737952 EU 133,
- Gl Dyn.Alloc E* LU1435244774 US 98,
- Gl Dyn.Alloc I* LU1437675314 US 97,
- Gl Dyn.Alloc P* LU1437675405 US 95,
- Gl Dyn.Alloc R* LU1463146511 US 92,
- Gl Dyn.Alloc Z* LU1437675587 US 99,
- Gl Em.Debt HI GBP* LU1120760852 GB 174,
- Gl Em.Debt HJ EUR* LU1374909940 EU 204,
- Gl Em.Debt Idm USD* LU1574073927 US 281,
- Gl Em.DebtJUSD* LU1374913462 US 377,
- Gl Em.DebtPUSD* LU0128467544 US 331,
- Gl Mgtd.Sel.PEUR* LU0386882277 EU 207,
- Gl Them.Opp.I dyEUR* LU1437676551 EU 113,
- Gl Them.Opp.I EUR* LU1437676478 EU 113,
- Gl Them.Opp.I GBP* LU1437676809 GB 120,
- Gl Them.Opp.I USD* LU1437675744 US 109,
- Gl Them.Opp.P dyEUR* LU1437676718 EU 110,
- Gl Them.Opp.P EUR* LU1437676635 EU 110,
- Gl Them.Opp.P USD* LU1437676122 US 106,
- Gl Them.Opp.R EUR* LU1508454599 EU 106,
- Gl Them.Opp.Z EUR* LU1491357742 EU 117,
- Gl Them.Opp.Z GBP* LU1491358047 GB 125,
- Gl Them.Opp.Z USD* LU1437676395 US 113,
- Vorwoche–21,25%31.12.–58,29% 20.3.:27, Kursfestst ellungfür alleWerte um 20:35Uhr.Brent, $jeBarrel;*=Vortag oderletztverfügbar
- Vorwoche–3,58%31.12.–4,69% 20.3.:1,0707 Vorwoche–5,58%30.12.–40,72% 20.3.:1.889,19 Vorwoche–3,28%30.12.–32,61% 20.3.:8.928, 95 Vorwoche–15,36%31.12.–31,23%20.3.:19.625, Quelle
- Euro -1,0639 0,9174 1,0531 118, EuroUS-$ Pfund SFR Yen
- US-$ 0,9400 -0,8624 0,9899 111,
- Pfund 1,0896 1,1580 -1,1475 129,
- SFR 0,9494 1,0100 0,8711 -112,
- 100Yen 0,8430 0,8969 0,7735 0,
- Gold ($/Unze) 1485,92 +1,24 1703,5 1266, ROHWAREN
- Silber ($/Unze) 12,52 +3,74 19,66 11,
- Kupfer ($/t) 4805,25 ––00,,3 311 6508,5 4684,