Zurück geht es hier Grüezi! Sie wurden auf finanzen.ch, unser Portal für Schweizer Anleger, weitergeleitet.  Zurück geht es hier.
Name Valor Fondsgesellschaft Währ. 1Y % 3Y % 5Y % Vol. (Mio.)
Protea SICAV-Lapis Global Top 50 Dividend Yield Fund A USD Inc Fonds 32217080 Valori Asset Management S.A. USD 4.67 28.86 53.88 144.23
Protea SICAV-Lapis Global Top 50 Dividend Yield Fund B1 USD Acc Fonds 32217366 Valori Asset Management S.A. USD 4.67 28.85 53.88 144.23
Protea SICAV-Lapis Global Top 50 Dividend Yield Fund C CHF Acc Fonds 37084658 Valori Asset Management S.A. CHF -0.88 9.50 - 144.23
Protea SICAV-Lapis Global Top 50 Dividend Yield Fund C USD Acc Fonds 32217547 Valori Asset Management S.A. USD 5.48 31.94 60.08 144.23
Protea SICAV-Lapis Global Top 50 Dividend Yield Fund CHF B1 Fonds 37084656 Valori Asset Management S.A. CHF -1.64 6.93 35.23 141.45
Protea SICAV-Lapis Global Top 50 Dividend Yield Fund Ca USD Inc Fonds 125528168 Valori Asset Management S.A. USD 5.48 - - 144.23
Protea SICAV-Lapis Global Top 50 Dividend Yield Fund EUR B1 Fonds 37084657 Valori Asset Management S.A. EUR -1.03 9.85 55.78 141.45
Protea SICAV-Lapis Global Top 50 Dividend Yield Fund EUR C Fonds 37084661 Valori Asset Management S.A. EUR -0.25 12.47 62.04 144.23
Protea SICAV-Lapis Global Top 50 Dividend Yield Fund EUR CG Fonds 48317645 Valori Asset Management S.A. EUR -0.78 10.74 57.97 144.23
Protea SICAV-Lapis Global Top 50 Dividend Yield Fund Na GBP Inc Fonds 32217695 Valori Asset Management S.A. GBP 2.29 12.54 51.77 144.23
Valori SICAV - Dynamic Allocation Fund A-EUR Accumulation Fonds 117571050 Valori Asset Management S.A. EUR - - - 22.47
Valori SICAV - Dynamic Allocation Fund AH-CHF Accumulation Fonds 14486771 Valori Asset Management S.A. CHF - - - 22.47
Valori SICAV - Dynamic Allocation Fund AH-USD Accumulation Fonds 14486776 Valori Asset Management S.A. USD - - - 22.47
Valori SICAV - Dynamic Allocation Fund B-EUR Accumulation Fonds 117571052 Valori Asset Management S.A. EUR - - - 22.47
Valori SICAV - Dynamic Allocation Fund BH-USD Accumulation Fonds 117571054 Valori Asset Management S.A. USD - - - 22.47
Valori SICAV - Elite Equity Fund B EUR Acc Fonds 117572487 Valori Asset Management S.A. EUR 10.56 - - 57.47
Valori SICAV - Elite Equity Fund BH CHF Acc Fonds 117573501 Valori Asset Management S.A. CHF - - - 57.47
Valori SICAV - Elite Equity Fund CG EUR Acc Fonds 117573507 Valori Asset Management S.A. EUR 10.57 - - 57.47
Valori SICAV - Global Flexible Bond A EUR Acc Fonds 121905448 Valori Asset Management S.A. EUR 4.18 18.05 1.25 37.65
Valori SICAV - Global Flexible Bond B EUR Acc Fonds 121905452 Valori Asset Management S.A. EUR 4.59 15.18 - 37.65