Titel
ISIN
  Ertragstyp
Währung
Fondsgesellschaft Rückn. Preis
Datum
Perf. 3M Perf. 1J Perf. 3J Perf. 5J SR (1J)
Vola. (1J)
 
REAL INVEST Europe VTI
AT0000A04KN9
vollthesaurierend
EUR
BA Real Invest KAG 74,0800
23.01.2025
+4,80% +7,41% +15,62% +28,25% 1,27
3,73%
REAL INVEST Europe T
AT0000A001P8
thesaurierend
EUR
BA Real Invest KAG 73,5600
23.01.2025
+4,79% +7,37% +15,61% +28,24% 1,26
3,73%
REAL INVEST Europe A
AT0000A001N3
ausschüttend
EUR
BA Real Invest KAG 65,4200
23.01.2025
+4,77% +7,37% +15,60% +28,23% 1,26
3,73%
Real Invest Austria VTI
AT0000A05RD2
vollthesaurierend
EUR
BA Real Invest KAG 18,9300
23.01.2025
+0,80% +2,49% +7,80% +13,83% -0,30
0,63%
Real Invest Austria T
AT0000634365
thesaurierend
EUR
BA Real Invest KAG 16,9100
23.01.2025
+0,81% +2,46% +7,84% +13,82% -0,33
0,68%
Real Invest Austria A
AT0000634357
ausschüttend
EUR
BA Real Invest KAG 11,7100
23.01.2025
+0,76% +2,50% +7,81% +13,77% -0,28
0,66%