Nombre
ISIN
  Tipo de beneficio
Divisa
Sociedad de fondos Prec. de rescate
Fecha
Rendimiento 3 meses Rendimiento 1 año Rendimiento 3 años Rendimiento 5 años SR (1A)
Volatilidad (1A)
 
Portfolio Fair Dynamic (T)
AT0000A3E859
reinvestment
EUR
Allianz Invest KAG 102.5000
08/01/2025
+2.30% - - - -
-
Portfolio Fair Dynamic (IT)
AT0000A3E867
reinvestment
EUR
Allianz Invest KAG 102.7500
08/01/2025
+2.53% - - - -
-
Portfolio Economist (T) EUR
AT0000A36HN7
reinvestment
EUR
Allianz Invest KAG 109.0300
08/01/2025
+0.75% +7.70% - - 1.81
2.73%
Portfolio Economist (IT) EUR
AT0000A36HP2
reinvestment
EUR
Allianz Invest KAG 110.0500
08/01/2025
+0.90% +8.58% - - 2.05
2.84%
K 69-Fonds (T) EUR
AT0000A0DES8
reinvestment
EUR
Allianz Invest KAG 988.1300
08/01/2025
+1.18% +5.00% +6.02% - 0.98
2.28%
K 69-Fonds (A) EUR
AT0000989074
paying dividend
EUR
Allianz Invest KAG 704.2500
08/01/2025
+1.18% +5.00% +6.02% - 0.98
2.29%
Global Dynamic Portfolio EUR
AT0000A0RK77
reinvestment
EUR
Allianz Invest KAG 199.1800
08/01/2025
+7.20% +19.33% +17.59% +32.42% 1.80
9.2%
Global Balanced Portfolio EUR
AT0000A0RK93
reinvestment
EUR
Allianz Invest KAG 158.0600
08/01/2025
+2.91% +12.58% +5.35% +12.75% 1.80
5.44%
CONVERTINVEST Rendite (IVT) EUR
AT0000A33DN3
Full reinvestment
EUR
Allianz Invest KAG 111.9500
08/01/2025
+1.77% +7.22% - - 3.29
1.36%
CONVERTINVEST Rendite (IT) EUR
AT0000A33DM5
reinvestment
EUR
Allianz Invest KAG 111.9400
08/01/2025
+1.76% +7.21% - - 3.30
1.35%
CONVERTINVEST Rendite (IA) EUR
AT0000A33DL7
paying dividend
EUR
Allianz Invest KAG 111.9500
08/01/2025
+1.77% +7.23% - - 3.30
1.36%
CONVERTINVEST Rendite (A) EUR
AT0000A33DK9
paying dividend
EUR
Allianz Invest KAG 111.2000
08/01/2025
+1.66% +6.80% - - 2.98
1.36%
Allianz Invest Stabil (T) EUR
AT0000A1G8B8
reinvestment
EUR
Allianz Invest KAG 99.2200
08/01/2025
+0.67% +3.36% +3.12% +1.94% 0.68
0.9%
Allianz Invest Rentenfonds T EUR
AT0000739222
reinvestment
EUR
Allianz Invest KAG 149.8800
08/01/2025
-0.02% +3.84% -5.03% -4.81% 0.29
3.74%
Allianz Invest Rentenfonds A EUR
AT0000824685
paying dividend
EUR
Allianz Invest KAG 85.1300
08/01/2025
0.00% +3.86% -5.03% -4.79% 0.29
3.73%
Allianz Invest Nachhaltigkeits-Rent...
AT0000A19NT8
paying dividend
EUR
Allianz Invest KAG 92.6000
08/01/2025
+0.52% +3.55% -2.25% -2.81% 0.40
1.97%
Allianz Invest Nachhaltigkeit Rente...
AT0000A2PNN0
reinvestment
EUR
Allianz Invest KAG 95.5600
08/01/2025
-2.09% +4.15% -3.88% - 0.30
4.58%
Allianz Invest Nachhaltigkeit Aktie...
AT0000A0AZW1
reinvestment
EUR
Allianz Invest KAG 381.2400
08/01/2025
+6.70% +26.47% +26.46% +67.90% 2.01
11.8%
Allianz Invest Nachhaltigkeit Aktie...
AT0000A0AZV3
paying dividend
EUR
Allianz Invest KAG 342.7800
08/01/2025
+6.69% +26.47% +26.38% +67.89% 2.01
11.8%
Allianz Invest Mündelrenten T EUR
AT0000721360
reinvestment
EUR
Allianz Invest KAG 121.6900
08/01/2025
-0.09% +1.94% -7.12% -8.56% -0.19
4.2%