Name
ISIN
  Type of yield
Currency
Investment company Repurchase p.
Date
Perf. 3M Perf. 1Y Perf. 3Y Perf. 5Y SR (1Y)
Vola. (1Y)
 
ACATIS Datini Valueflex Fonds - Ant...
DE000A0RKXJ4
paying dividend
EUR
ACATIS Investment 746.5100
22/01/2025
+11.14% +25.29% +17.09% +79.26% 1.60
14.15%
ACATIS Datini Valueflex Fonds - Ant...
DE000A2QSGT9
reinvestment
EUR
ACATIS Investment 109.0300
22/01/2025
+11.03% +24.71% +15.40% - 1.56
14.16%
ACATIS Datini Valueflex Fonds - Ant...
DE000A1H72F1
reinvestment
EUR
ACATIS Investment 206.3600
22/01/2025
+10.93% +24.28% +14.21% +72.43% 1.52
14.17%
ACATIS AI Global Equities - Anteilk...
DE000A2DMV81
paying dividend
EUR
ACATIS Investment 1,862.4200
22/01/2025
+9.80% +20.30% +30.41% +71.23% 1.26
13.98%
ACATIS AI Global Equities - Anteilk...
DE000A2DMV73
paying dividend
EUR
ACATIS Investment 1,840.6100
22/01/2025
+9.76% +20.12% +29.81% +69.99% 1.25
13.98%
ACATIS AI Global Equities - Anteilk...
DE000A3E18U6
reinvestment
EUR
ACATIS Investment 122.1600
22/01/2025
+9.70% +19.89% - - 1.23
13.99%
ACATIS AI Global Equities - Anteilk...
DE000A2DR2L2
paying dividend
EUR
ACATIS Investment 178.7300
22/01/2025
+9.58% +19.32% +27.07% +64.15% 1.19
14%
ACATIS AKTIEN GLOBAL FONDS - Anteil...
DE000A3C92E9
reinvestment
EUR
ACATIS Investment 1,314.4700
22/01/2025
+7.02% +25.64% - - 1.80
12.79%
ACATIS AKTIEN GLOBAL FONDS - Anteil...
DE000A0YBNM4
paying dividend
EUR
ACATIS Investment 40,734.7813
22/01/2025
+7.00% +25.51% +29.99% +73.07% 1.79
12.79%
ACATIS AKTIEN GLOBAL FONDS - Anteil...
DE000A0HF4S5
reinvestment
EUR
ACATIS Investment 42,755.6719
22/01/2025
+7.00% +25.52% +30.07% +73.20% 1.79
12.79%
ACATIS AKTIEN GLOBAL FONDS - Anteil...
DE0009781740
reinvestment
EUR
ACATIS Investment 625.3400
22/01/2025
+6.83% +24.74% +28.20% +68.87% 1.72
12.8%
ACATIS AKTIEN GLOBAL FONDS - Anteil...
DE000A1C7DK9
reinvestment
CHF
ACATIS Investment 31,713.9609
22/01/2025
+6.32% +22.86% +23.47% +64.84% 1.59
12.71%
ACATIS Global Value Total Return
DE000A1JGBX4
reinvestment
EUR
ACATIS Investment 416.2800
22/01/2025
+5.68% +19.69% +33.93% +61.53% 1.20
14.18%
ACATIS Value Performer
LU0334293981
paying dividend
EUR
ACATIS Investment 192.8400
22/01/2025
+2.83% +21.43% +19.32% +25.58% 2.14
8.75%
ACATIS Asia Pacific Plus Fonds
DE0005320303
reinvestment
EUR
ACATIS Investment 78.6200
22/01/2025
+2.80% +11.08% +24.03% +35.67% 0.76
11.08%
ACATIS IfK Value Renten - Anteilkla...
DE000A1W9BC2
paying dividend
USD
ACATIS Investment 40.0100
22/01/2025
+2.59% +12.51% +16.12% +14.90% 4.66
2.11%
ACATIS IfK Value Renten - Anteilkla...
DE000A3C9127
paying dividend
EUR
ACATIS Investment 388.9900
22/01/2025
+2.41% +11.91% +11.14% - 4.30
2.15%
ACATIS IfK Value Renten - Anteilkla...
DE000A2H5XH1
paying dividend
EUR
ACATIS Investment 325.7700
22/01/2025
+2.32% +11.75% +10.58% +7.18% 4.21
2.16%
ACATIS Value Event Fonds - Anteilkl...
DE000A2P0U09
reinvestment
USD
ACATIS Investment 14,646.6201
22/01/2025
+2.32% +12.71% +23.77% - 1.73
5.78%
ACATIS IfK Value Renten - Anteilkla...
DE000A0X7582
paying dividend
EUR
ACATIS Investment 44.5400
22/01/2025
+2.31% +11.70% +10.51% +6.89% 4.15
2.17%