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)
 
ACATIS Fair Value Modulor Vermögens...
LU0278152862
paying dividend
EUR
ACATIS Investment 7,945.4399
21/01/2025
+0.56% +6.15% -3.54% +24.45% 0.43
8.04%
ACATIS Fair Value Modulor Vermögens...
LU0278153084
paying dividend
EUR
ACATIS Investment 820.9200
21/01/2025
+0.73% +6.85% -1.61% +28.40% 0.52
8.03%
ACATIS Fair Value Modulor Vermögens...
LU1904802086
reinvestment
EUR
ACATIS Investment 155.1700
21/01/2025
+0.52% +5.95% -4.07% +24.60% 0.41
8.05%
ACATIS Fair Value Modulor Vermögens...
LU2451779768
reinvestment
EUR
ACATIS Investment 91.4000
21/01/2025
+0.46% +5.87% - - 0.40
8.05%
ACATIS Global Value Total Return
DE000A1JGBX4
reinvestment
EUR
ACATIS Investment 414.7300
21/01/2025
+5.34% +19.24% +33.11% +61.53% 1.17
14.21%
ACATIS IfK Value Renten - Anteilkla...
DE000A0X7582
paying dividend
EUR
ACATIS Investment 44.5200
21/01/2025
+2.20% +11.65% +9.85% +7.07% 4.14
2.18%
ACATIS IfK Value Renten - Anteilkla...
DE000A1CS5A9
paying dividend
CHF
ACATIS Investment 95.8400
21/01/2025
+1.70% +8.98% +4.67% +1.84% 2.92
2.17%
ACATIS IfK Value Renten - Anteilkla...
DE000A1W9BC2
paying dividend
USD
ACATIS Investment 39.9800
21/01/2025
+2.46% +12.42% +15.42% +15.07% 4.63
2.11%
ACATIS IfK Value Renten - Anteilkla...
DE000A3C9127
paying dividend
EUR
ACATIS Investment 388.8000
21/01/2025
+2.31% +11.86% +11.09% - 4.28
2.15%
ACATIS IfK Value Renten - Anteilkla...
DE000A2H5XH1
paying dividend
EUR
ACATIS Investment 325.6100
21/01/2025
+2.22% +11.69% +9.94% +7.35% 4.19
2.16%
ACATIS QILIN Marco Polo Asien Fonds...
DE000A2PB655
paying dividend
EUR
ACATIS Investment 100.5500
21/01/2025
+3.08% +44.19% -22.26% -12.50% 2.04
20.39%
ACATIS QILIN Marco Polo Asien Fonds...
DE000A2PB663
paying dividend
EUR
ACATIS Investment 10,280.2500
21/01/2025
+3.22% +44.87% -21.07% -10.21% 2.08
20.37%
ACATIS QILIN Marco Polo Asien Fonds...
DE000A2P9Q22
paying dividend
EUR
ACATIS Investment 73.3800
21/01/2025
+3.20% +44.79% -21.22% - 2.07
20.37%
ACATIS Small Diamonds - Anteilklass...
DE000A40HHD5
reinvestment
EUR
ACATIS Investment 99.9600
21/01/2025
- - - - -
-
ACATIS Small Diamonds - Anteilklass...
DE000A40HHE3
reinvestment
EUR
ACATIS Investment 100.0400
21/01/2025
- - - - -
-
ACATIS Value Event Fonds - Anteilkl...
DE000A0X7541
reinvestment
EUR
ACATIS Investment 390.8000
21/01/2025
+1.88% +10.89% +13.88% +34.01% 1.41
5.86%
ACATIS Value Event Fonds - Anteilkl...
DE000A1C5D13
reinvestment
EUR
ACATIS Investment 27,396.7207
21/01/2025
+1.96% +11.34% +15.31% +36.74% 1.48
5.88%
ACATIS Value Event Fonds - Anteilkl...
DE000A1T73W9
paying dividend
EUR
ACATIS Investment 1,419.1700
21/01/2025
+1.88% +10.89% +13.83% +33.88% 1.41
5.86%
ACATIS Value Event Fonds - Anteilkl...
DE000A2DR2M0
paying dividend
EUR
ACATIS Investment 2,006.5200
21/01/2025
+2.04% +32.74% +38.47% +65.37% 2.01
14.97%
ACATIS Value Event Fonds - Anteilkl...
DE000A2JQJ20
reinvestment
EUR
ACATIS Investment 1,645.3700
21/01/2025
+2.03% +12.54% +17.37% +40.15% 1.16
8.54%