Fund overview
| Fund name | ISIN | NAV | 1 year in % |
3 years in % |
As per |
|---|---|---|---|---|---|
| PEH SICAV - PEH EMPIRE - F | LU0385490817 | 102,58 EUR | 9.74 % | 11.26 % | 2013/06/19 |
| PEH SICAV - PEH EMPIRE - P | LU0086120648 | 84,70 EUR | 9.11 % | 9.72 % | 2013/06/19 |
| PEH SICAV - PEH Inflation Linked Bonds Flexibel - P | LU0498681468 | 100,37 EUR | 0.69 % | -2.15 % | 2013/06/19 |
| PEH SICAV - PEH Renten EvoPro - I | LU0291409281 | 94,20 EUR | -0.20 % | -2.07 % | 2013/06/19 |
| PEH SICAV - PEH Renten EvoPro - P | LU0291408713 | 102,01 EUR | -0.70 % | -3.64 % | 2013/06/19 |
| PEH SICAV - PEH Renten EvoPro - PA | LU0485983406 | 93,60 EUR | -0.70 % | -3.97 % | 2013/06/19 |
| PEH SICAV - PEH Renten EvoPro - VA | LU0394943533 | 898,36 EUR | -0.30 % | -2.51 % | 2013/06/19 |
| PEH SICAV - PEH Renten EvoPro - VR | LU0343003991 | 46,93 EUR | -0.66 % | -3.61 % | 2013/06/19 |
| PEH SICAV - PEH Renten EvoPro - VR2 | LU0432813052 | 45,82 EUR | -0.68 % | -3.61 % | 2013/06/19 |
| PEH SICAV - PEH Renten EvoPro - VV | LU0394943962 | 95,83 EUR | -0.42 % | -2.97 % | 2013/06/19 |
| PEH SICAV - PEH STRATEGIE FLEXIBEL - I | LU0451530025 | 101,93 EUR | 6.82 % | -5.90 % | 2013/06/19 |
| PEH SICAV - PEH STRATEGIE FLEXIBEL - P | LU0086124129 | 66,71 EUR | 6.92 % | -7.37 % | 2013/06/19 |
| RVF - RBZ Emerging Market Bonds - 1A | LU0776689696 | 97,64 USD | - | - | 2013/06/19 |
| RVF - RBZ Emerging Market Bonds - 1D | LU0776693375 | 97,29 USD | - | - | 2013/06/19 |
| RVF - RBZ Emerging Market Bonds - 2A | LU0776697442 | 97,53 USD | - | - | 2013/06/19 |
| RVF - RBZ Emerging Market Bonds - 2D | LU0776699497 | 97,20 USD | - | - | 2013/06/19 |