|
Ø Performance |
Ø Volatilität |
Ø Sharpe Ratio |
Ø Verlust - Monate |
WKN | Fondsname | 1 Jahr | 3 Jahre | 1 Jahr | 3 Jahre | 3 Jahre | Periode | Max. Verlust |
A0RPAM |
PrivatFonds: Kontrolliert |
3,12% |
14,71% |
5,65% |
4,86% |
-- |
3 M. |
-7,78% |
A0RPAN |
PrivatFonds: Kontrolliert pro |
3,67% |
21,41% |
8,78% |
7,06% |
-- |
3 M. |
-12,04% |
A2N73W |
PrivatFonds: Nachhaltig |
2,20% |
14,15% |
5,50% |
4,90% |
-- |
3 M. |
-8,09% |
849104 |
UniRak |
-0,46% |
20,82% |
10,25% |
8,81% |
-- |
3 M. |
-14,59% |
531446 |
UniRak -net- |
-0,81% |
19,55% |
10,25% |
8,81% |
-- |
3 M. |
-14,64% |
A1C81D |
UniRak Konservativ -net-A |
2,04% |
11,00% |
6,14% |
6,24% |
-- |
2 M. |
-8,79% |
A1C81C |
UniRak Konservativ A |
2,39% |
12,17% |
6,14% |
6,23% |
-- |
2 M. |
-8,73% |
531411 |
UniStrategie:Ausgewogen |
3,20% |
17,91% |
7,55% |
6,29% |
-- |
3 M. |
-10,96% |
531410 |
UniStrategie:Konservativ |
2,79% |
9,26% |
4,30% |
4,13% |
-- |
3 M. |
-6,21% |
A0M80H |
Volksbank in Ostwestfalen NachhaltigkeitsInvest |
0,27% |
10,03% |
10,32% |
9,14% |
-- |
3 M. |
-14,73% |