Titel
ISIN
  Ertragstyp
Währung
Fondsgesellschaft Rückn. Preis
Datum
Perf. 3M Perf. 1J Perf. 3J Perf. 5J SR (1J)
Vola. (1J)
 
F.Gl.Real Estate Fd.W USD
LU0976565175
ausschüttend
USD
Franklin Templeton 9.7700
08.01.2025
-8.61% -1.43% -17.09% -4.22% -0.32
13.31%
F.Gl.Real Estate Fd.W USD
LU1626020983
thesaurierend
USD
Franklin Templeton 11.1800
08.01.2025
-8.59% -1.41% -16.94% -4.03% -0.32
13.26%
F.Gl.Real Estate Fd.Z USD
LU1129996556
thesaurierend
USD
Franklin Templeton 11.8200
08.01.2025
-8.66% -1.75% -17.69% - -0.34
13.37%
Franklin Templeton Investment Funds...
LU0523919115
thesaurierend
EUR
Franklin Templeton 13.6600
08.01.2025
-9.30% -4.21% -26.04% -17.06% -0.52
13.36%
Franklin Templeton Investment Funds...
LU0229948087
thesaurierend
USD
Franklin Templeton 12.7000
08.01.2025
-8.76% -2.23% -19.01% -7.90% -0.38
13.32%
Franklin Templeton Investment Funds...
LU0229948244
ausschüttend
USD
Franklin Templeton 8.4000
08.01.2025
-8.79% -2.19% -18.97% -7.90% -0.37
13.33%
Franklin Templeton Investment Funds...
LU0523922176
ausschüttend
EUR
Franklin Templeton 9.8000
08.01.2025
-9.26% -4.25% -26.06% -17.33% -0.53
13.34%
Franklin Templeton Investment Funds...
LU0229949648
ausschüttend
USD
Franklin Templeton 7.8400
08.01.2025
-8.94% -2.87% -20.44% -10.55% -0.42
13.34%
Franklin Templeton Investment Funds...
LU0229949309
thesaurierend
USD
Franklin Templeton 15.0200
08.01.2025
-8.64% -1.44% -16.88% -3.78% -0.32
13.3%
Franklin Templeton Investment Funds...
LU0523922846
thesaurierend
EUR
Franklin Templeton 12.2100
08.01.2025
-9.42% -4.91% -27.75% -20.40% -0.57
13.4%
Franklin Templeton Investment Funds...
LU0229948756
thesaurierend
USD
Franklin Templeton 11.0100
08.01.2025
-9.01% -3.00% -20.79% -11.35% -0.43
13.32%