Fund overview
| Fund name | ISIN | NAV | 1 year in % |
3 years in % |
As per |
|---|---|---|---|---|---|
| ABDERUS FUND - GLOBAL UNIVERSAL INVEST - P | LU0396594094 | 154,12 EUR | 22.96 % | 18.88 % | 2013/05/17 |
| Absolutissimo Fund - ThinkTank - P | LU0392176789 | 135,09 EUR | 15.97 % | 9.60 % | 2013/05/22 |
| Absolutissimo Fund - Value Focus Fund - P | LU0399928414 | 365,70 EUR | 59.90 % | 149.34 % | 2013/05/22 |
| Absolutissimo Fund - Value Focus Fund - R | LU0566535208 | 172,69 EUR | 53.18 % | - | 2013/05/22 |
| Absolutissimo Fund - Xanti - P | LU0384820337 | 117,30 EUR | 5.65 % | 6.21 % | 2013/05/17 |
| AD-VANEMICS - ETF-DACHFONDS - I | LU0665452024 | 9.917,96 EUR | 1.53 % | - | 2013/05/22 |
| AD-VANEMICS - ETF-DACHFONDS - S | LU0665450838 | 24,65 EUR | 1.11 % | - | 2013/05/22 |
| AD-VANEMICS - ETF-DACHFONDS - V | LU0665449400 | 24,72 EUR | 1.31 % | - | 2013/05/22 |
| Adelca Invest - GI Multi Asset Fund | LU0328114938 | 171,82 EUR | 53.92 % | 73.93 % | 2013/05/22 |
| Adelca Invest - GVI Multi Asset Fund | LU0328115661 | 159,33 EUR | 54.80 % | 77.04 % | 2013/05/22 |
| Adelca Invest - TFI Multi Asset Fund | LU0328116396 | 108,88 EUR | 17.58 % | 21.83 % | 2013/05/22 |
| Adelca Invest - VI Multi Asset Fund | LU0328114854 | 165,10 EUR | 52.87 % | 74.61 % | 2013/05/22 |
| ADORIOR FUND - Multi Asset - P | LU0387613580 | 123,48 EUR | 9.91 % | 13.22 % | 2013/04/30 |
| ADUNO FUND - GLOBAL INVEST - B | LU0230827726 | 102,27 EUR | 8.73 % | -2.12 % | 2013/05/22 |
| ADVISER I FUNDS - Albrech & Cie. Absolute Return Fonds - P | LU0331734318 | 94,94 EUR | 0.21 % | -3.19 % | 2013/05/22 |
| ADVISER I FUNDS - Albrech & Cie. Optiselect Fonds - A | LU0617173314 | 5,22 EUR | 11.54 % | - | 2013/05/22 |
| ADVISER I FUNDS - Albrech & Cie. Optiselect Fonds - P | LU0107901315 | 174,53 EUR | 12.07 % | 19.06 % | 2013/05/22 |
| AKROBAT FUND - EUROPA | LU0138526776 | 192,01 EUR | 33.22 % | 69.35 % | 2013/05/22 |
| AKROBAT FUND - VALUE | LU0157022814 | 117,56 EUR | 24.18 % | 54.18 % | 2013/05/22 |
| ALBERGO - MULTI ASSET - A | LU0399962942 | 101,95 EUR | 0.64 % | -2.62 % | 2013/05/17 |
| ALBERGO - MULTI ASSET - P | LU0368106703 | 102,50 EUR | 0.84 % | -2.07 % | 2013/05/17 |
| ARBOR INVEST - SUBSTANZWERTE - P | LU0741243645 | 108,31 EUR | 12.27 % | - | 2013/05/22 |
| ARBOR INVEST - SYSTEMATIK - P | LU0318816500 | 61,02 EUR | 13.95 % | 10.58 % | 2013/05/22 |
| ARBOR INVEST - VERMÖGENSVERWALTUNGSFONDS - I | LU0352153018 | 103,55 EUR | 5.28 % | 8.42 % | 2013/05/22 |
| ARBOR INVEST - VERMÖGENSVERWALTUNGSFONDS - P | LU0324372738 | 102,18 EUR | 5.67 % | 9.61 % | 2013/05/22 |
| AXXION FOCUS - Discount | LU0328585541 | 58,48 EUR | 22.73 % | 23.35 % | 2013/05/22 |
| BELOS-COM FONDS - MA | LU0290570109 | 50,12 EUR | 10.42 % | 13.91 % | 2013/05/17 |
| BERLIN & CO - STRATEGIEPORTFOLIO 10 | LU0327603337 | 114,68 EUR | 6.63 % | 9.69 % | 2013/05/17 |
| BERLIN & CO - STRATEGIEPORTFOLIO 11 | LU0323364694 | 113,04 EUR | 3.97 % | 6.49 % | 2013/05/17 |
| BERLIN & CO Fonds - Strategie I - defensiv - A | LU0347274069 | 113,92 EUR | 4.97 % | 7.12 % | 2013/05/22 |