Titel
ISIN
  Ertragstyp
Währung
Fondsgesellschaft Rückn. Preis
Datum
Perf. 3M Perf. 1J Perf. 3J Perf. 5J SR (1J)
Vola. (1J)
 
Dynasty SICAV - Dynasty Bond Euro S...
LU2360080969
thesaurierend
EUR
Dynasty AM 129.928,6719
08.01.2025
+0,73% +3,43% - - 2,28
0,28%
Dynasty SICAV - Dynasty Bond Euro S...
LU2360081181
ausschüttend
EUR
Dynasty AM 151,4700
08.01.2025
+0,69% +3,28% - - 1,72
0,29%
Dynasty SICAV - Dynasty Euro Yield ...
LU2440451206
thesaurierend
USD
Dynasty AM 115,7200
08.01.2025
+0,96% +6,29% - - 2,76
1,27%
Dynasty SICAV - Dynasty Convertible...
LU2360061589
thesaurierend
CHF
Dynasty AM 10.602,3203
08.01.2025
+1,17% +7,40% - - 1,05
4,39%
Dynasty SICAV - Dynasty Convertible...
LU2360061662
ausschüttend
EUR
Dynasty AM 103,9600
08.01.2025
+1,85% +9,30% - - 1,48
4,4%
Dynasty SICAV - Chahine Dynasty Hig...
LU2585150308
thesaurierend
EUR
Dynasty AM 112,6100
08.01.2025
+1,13% +5,95% - - 2,46
1,29%
Dynasty SICAV - Chahine Dynasty Hig...
LU2585150563
thesaurierend
EUR
Dynasty AM 114,1100
08.01.2025
+1,29% +6,64% - - 2,67
1,44%