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)
 
AMUNDI AKTIEN ROHSTOFFE - A
DE0009779884
reinvestment
EUR
Amundi Deutschland 159.3400
07/01/2025
-7.82% -1.07% +20.20% +83.04% -0.28
13.84%
AMUNDI AKTIEN ROHSTOFFE - C
DE000A0RL2V3
reinvestment
EUR
Amundi Deutschland 83.8900
07/01/2025
-8.00% -1.81% +17.51% +76.28% -0.33
13.85%
AMUNDI AKTIEN ROHSTOFFE - H
DE000A0JDPT1
reinvestment
EUR
Amundi Deutschland 128.2100
07/01/2025
-7.77% -0.87% +20.90% +84.82% -0.26
13.84%
AMUNDI AKTIEN ROHSTOFFE - L
DE000A0JDPS3
reinvestment
EUR
Amundi Deutschland 143.7100
07/01/2025
-7.95% -1.66% +17.92% +77.44% -0.32
13.84%
AMUNDI BKK RENT
DE0008472895
paying dividend
EUR
Amundi Deutschland 62.2500
03/01/2025
+0.42% +3.47% -2.66% -4.59% 0.29
2.5%
AMUNDI CPR AKTIV
DE000A2H5ZG8
paying dividend
EUR
Amundi Deutschland 54.3900
03/01/2025
+2.20% +7.69% +2.68% +13.41% 0.77
6.43%
AMUNDI CPR DEFENSIV
DE000A2H5ZF0
paying dividend
EUR
Amundi Deutschland 49.3100
03/01/2025
+0.45% +2.64% +0.83% +2.26% -0.03
3.14%
AMUNDI CPR DYNAMISCH
DE000A2H5ZH6
paying dividend
EUR
Amundi Deutschland 72.9400
03/01/2025
+4.86% +18.71% +14.00% +48.15% 1.62
9.84%
AMUNDI ETHIK PLUS - A
DE0009792002
reinvestment
EUR
Amundi Deutschland 71.2100
07/01/2025
+0.84% +10.88% +6.44% +17.78% 1.24
6.59%
AMUNDI ETHIK PLUS - A -D
DE000A2P8UA6
paying dividend
EUR
Amundi Deutschland 62.2000
07/01/2025
+0.83% +10.89% +6.43% - 1.24
6.59%
AMUNDI ETHIK PLUS - H
DE000A2P8UC2
paying dividend
EUR
Amundi Deutschland 62.8700
07/01/2025
-0.49% +9.87% +6.58% - 1.05
6.8%
AMUNDI ETHIK PLUS - R
DE000A2P8UB4
paying dividend
EUR
Amundi Deutschland 62.8700
07/01/2025
+0.98% +11.49% +8.21% - 1.33
6.58%
AMUNDI GERMAN EQUITY - A
DE0009752303
reinvestment
EUR
Amundi Deutschland 231.7900
03/01/2025
-1.53% +6.93% +0.23% +17.08% 0.36
11.72%
AMUNDI GERMAN EQUITY - H
DE000A0RL2F6
paying dividend
EUR
Amundi Deutschland 209.5800
03/01/2025
-1.37% +7.66% -0.10% +17.74% 0.42
11.72%
AMUNDI INTERNETAKTIEN
DE0009785303
reinvestment
EUR
Amundi Deutschland 232.8200
07/01/2025
+21.74% +44.04% +25.04% +82.38% 2.14
19.32%
AMUNDI MULTI MANAGER BEST SELECT - ...
DE000A1W9BL3
paying dividend
EUR
Amundi Deutschland 57.2900
07/01/2025
+1.21% +6.27% +0.54% +4.90% 0.93
3.82%
AMUNDI MULTI MANAGER BEST SELECT - ...
DE000A2DW327
reinvestment
EUR
Amundi Deutschland 58.1100
07/01/2025
+1.40% +7.08% +2.83% +8.92% 1.14
3.81%
AMUNDI MULTI MANAGER BEST SELECT - ...
DE000A2DW368
paying dividend
EUR
Amundi Deutschland 56.3200
07/01/2025
+1.39% +7.07% +2.81% +8.90% 1.14
3.82%
AMUNDI TOP WORLD
DE0009779736
reinvestment
EUR
Amundi Deutschland 276.6800
07/01/2025
+1.50% +19.92% +27.63% +80.80% 1.52
11.33%
Amundi Wandelanleihen
DE0008484957
reinvestment
EUR
Amundi Deutschland 126.0600
03/01/2025
-1.17% -1.25% -11.60% -5.58% -0.80
4.95%