Eilmeldung
Sichern Sie sich 40% Rabatt 0
💰 Blicke in die Portfolios der Top-Investoren und Milliardäre! Mit unserem 13F-Tool easy peasy! Insider werden

Globale Fonds

Fonds-Finder

Land der Börsennotierung:

Emittent:

Morningstar Rating:

Risikobewertung:

Anlageklasse:

Kategorie:

Suche

Deutschland - Fonds

Meldung erstellen
Portfolio hinzufügen
Einem Portfolio hinzufügen/entfernen  
Zur Watchlist hinzufügen
Position hinzufügen

Position erfolgreich hinzugefügt zu:

Benennen Sie Ihr Beteiligungsportfolio
 
Meldung erstellen
Neu!
Meldung erstellen
Webseite
  • Als eine Mitteilungsmeldung
  • Stellen Sie sicher, dass Sie in Ihrem Konto angemeldet sind, um diese Funktion zu nutzen
Mobile App
  • Stellen Sie sicher, dass Sie in Ihrem Konto angemeldet sind, um diese Funktion zu nutzen
  • Stellen Sie sicher, dass Sie mit dem selben Benutzerprofil angemeldet sind

Bedingung

Häufigkeit

Einmalig
%

Häufigkeit

Häufigkeit

Zustellungsmethode

Status

 NameSymbolAkt.+/- %FondsvermögenZeit
 Absolute Return Multi Premium Fonds AK R0P0001.80,640+0,29%61,88M08/05 
 Absolute Return Multi Premium Fonds AK I0P0001.84,000+0,30%61,88M08/05 
 sentix Risk Return -M- R0P0001.109,470+0,05%57,04M08/05 
 sentix Risk Return -M- I0P0001.104,900+0,05%57,04M08/05 
 KJL Capital Absolute Return I UI I0P0001.102,990+0,03%22,46M08/05 
 apano HI Strategie 10P0000.107,780+0,23%18,72M10/05 
 Sauren Dynamic Absolute Return I0P0001.11,4800,00%9,48M10/05 
 Sauren Dynamic Absolute Return D0P0001.10,650-0,09%9,48M10/05 
 RP Global Absolute Return0P0000.87,420+0,09%6,53M10/05 

Irland - Fonds

 NameSymbolAkt.+/- %FondsvermögenZeit
 Neuberger Berman Uncorrelated Strategies Fund EUR 0P0001.9,2800,00%1,1B10/05 
 Mercer Liquid Alternative Strategies Z-1ג‚¬ Hedged0P0000.123,760+1,38%523,78M28/03 
 Mercer Liquid Alternative Strategie M-1 EUR Hedged0P0001.105,140+1,31%523,78M28/03 
 Mercer Liquid Alternative Strategies I-1ג‚¬ Hedged0P0000.116,500+1,32%523,78M28/03 
 Man AHL Multi Strategy Alternative Class DN H EUR0P0001.111,420+0,52%29,4M09/05 

Italien - Fonds

 NameSymbolAkt.+/- %FondsvermögenZeit
 Hedge Invest Global Fund HI20P0001.577.877+2,14%149,78M29/03 
 Hedge Invest Global Fund I0P0000.972.822+2,11%149,78M29/03 
 Hedge Invest Global Fund II0P0000.972.402+2,11%149,78M29/03 
 Hedge Invest Global Fund III0P0001.649.867+2,11%149,78M29/03 
 Hedge Invest Global Fund IV0P0001.694.994+2,16%149,78M29/03 
 Hedge Invest Global Fund HI10P0001.577.237+2,14%149,78M29/03 
 Hedge Invest Global Fund PF0P0001.671.819+2,14%149,78M29/03 
 Core Series Core Alternative E EUR ND0P0001.4,714+0,49%28,12M08/05 
 Hedgersel0P0000.876.821+0,02%30/04 

Luxemburg - Fonds

 NameSymbolAkt.+/- %FondsvermögenZeit
 Nordea 1 - Alpha 10 MA Fund BP EUR0P0000.12,907-0,17%3,5B10/05 
 Nordea 1 Alpha 10 MA Fund E EUR0P0001.12,186-0,18%3,5B10/05 
 Nordea 1 - Alpha 15 MA Fund BC EUR0P0001.82,917-0,28%3,2B10/05 
 Nordea 1 - Alpha 15 MA Fund E EUR0P0000.74,036-0,28%3,2B10/05 
 Nordea 1 - Alpha 15 MA Fund AP EUR0P0001.70,541-0,28%3,2B10/05 
 Nordea 1 - Alpha 15 MA Fund BP EUR0P0000.79,304-0,28%3,2B10/05 
 Pictet TR - Diversified Alpha P EUR0P0001.110,100+0,15%1,54B08/05 
 JPMorgan Funds - Multi-Manager Alternatives Fund D0P0001.93,770+0,09%1,19B09/05 
 HSBC Global Investment Funds Multi Asset Style F0P0001.9,781+0,43%775,71M07/05 
 HSBC Global Investment Funds Multi Asset Style F0P0001.12,394+0,23%775,71M07/05 
 HSBC Global Investment Funds Multi Asset Style F0P0001.11,988+0,25%775,71M07/05 
 HSBC Global Investment Funds Multi Asset Style F0P0001.12,277+0,22%775,71M07/05 
 HSBC Global Investment Funds Multi Asset Style F0P0001.10,293+0,43%775,71M07/05 
 HSBC Global Investment Funds Multi Asset Style F0P0001.11,499+0,25%775,71M07/05 
 HSBC Global Investment Funds Multi Asset Style F0P0001.12,921+0,23%775,71M07/05 
 HSBC Global Investment Funds Multi Asset Style F0P0001.9,873+0,44%775,71M07/05 
 HSBC Global Investment Funds Multi Asset Style F0P0001.11,391+0,25%775,71M07/05 
 Franklin K2 Alternative Strategies Fund I PF (acc)0P0001.10,590+0,19%11,89M10/05 
 Franklin K2 Alternative Strategies Fund A(acc)EUR 0P0001.10,460+0,19%78,8M10/05 
 Franklin K2 Alternative Strategies Fund A(Ydis)EUR0P0001.9,780+0,10%4,71M10/05 

Schweden - Fonds

 NameSymbolAkt.+/- %FondsvermögenZeit
 Brummer Multi-Strategy Euro0P0000.261,645+1,74%42M28/03 

Spanien - Fonds

 NameSymbolAkt.+/- %FondsvermögenZeit
 Dunas Valor Prudente R FI0P0001.110,381+0,02%940,54M09/05 
 Dunas Valor Prudente I FI0P0000.265,162+0,02%940,54M09/05 
 Santaluco­a Retorno Absoluto B FI0P0001.8,938+0,15%868,72K07/05 
 Dunas Valor Flexible I FI0P0000.17,070+0,09%257,81M09/05 
 Dunas Valor Flexible R FI0P0000.12,955+0,09%257,81M09/05 
 Dunas Valor Equilibrio I Fi175414.13,31+0,06%158,57M09/05 
 Dunas Valor Equilibrado R FI0P0000.11,893+0,06%158,57M09/05 
 Dunas Valor Cauto R FI0P0001.10,251-0,03%82,72M12/05 
 Caixabank Seleccion Retorno Absoluto Plus FI0P0000.6,6070,00%77,99M08/05 
 Caixabank Seleccion Retorno Absoluto Platinum FI0P0001.6,0730,00%77,99M08/05 
 Caixabank Seleccion Retorno Absoluto Cartera FI0P0001.6,2680,00%77,99M08/05 
 Caixabank Seleccion Retorno Absoluto Estondar FI0P0000.6,1190,00%77,99M08/05 
 Caixabank Seleccion Alternativa Plus FI0P0001.6,417-0,06%76,3M08/05 
 Sabadell Seleccion Alternativa Base FI0P0001.10,206+0,09%75,17M08/05 
 Sabadell Seleccion Alternativa Cartera FI0P0001.10,549+0,09%75,17M08/05 
 Sabadell Seleccion Alternativa Plus FI0P0001.10,368+0,09%75,17M08/05 
 Sabadell Seleccion Alternativa Pyme FI0P0001.10,290+0,09%75,17M08/05 
 GVC Gaesco Retorno Absoluto A FI0P0000.159,219+0,52%37,75M08/05 
 GVC Gaesco Crossover - Glb Cur Hdgd A FI0P0001.11,622+0,05%37,43M08/05 
 Caja Ingenieros Gestion Dinomica FI0P0000.104,588-0,05%30,98M08/05 
Mit Google registrieren
oder
Registrierung