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Hongkong - Fonds

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Status

 NameSymbolAkt.+/- %Aktiva (gesamt)Zeit
 Franklin Technology Fund A acc HKD0P0000.59,580-1,34%430,73M27/03 

Irland - Fonds

 NameSymbolAkt.+/- %Aktiva (gesamt)Zeit
 Legg Mason ClearBridge US Large Cap Growth Fund Cl0P0001.354,270-0,50%1,84B27/03 
 Legg Mason ClearBridge US Large Cap Growth Fund Cl0P0000.571,210-0,50%1,84B27/03 
 Legg Mason ClearBridge US Large Cap Growth Fund Cl0P0000.514,440-0,50%1,84B27/03 
 Legg Mason ClearBridge US Large Cap Growth Fund Cl0P0000.603,080-0,50%1,84B27/03 
 Legg Mason ClearBridge US Large Cap Growth Fund Cl0P0000.711,050-0,50%1,84B27/03 
 Legg Mason ClearBridge US Large Cap Growth Fund Cl0P0000.570,950-0,50%1,84B27/03 
 Legg Mason ClearBridge US Large Cap Growth Fund Cl0P0000.551,380-0,50%1,84B27/03 
 Legg Mason ClearBridge US Large Cap Growth Fund Cl0P0000.522,120-0,50%1,84B27/03 
 Legg Mason ClearBridge US Large Cap Growth Fund Cl0P0000.514,450-0,50%1,84B27/03 
 Legg Mason ClearBridge US Large Cap Growth Fund Cl0P0000.522,220-0,50%1,84B27/03 
 Legg Mason ClearBridge US Large Cap Growth Fund Cl0P0001.275,840-0,50%1,97B27/03 
 Legg Mason ClearBridge US Large Cap Growth Fund Pr0P0000.377,110-0,50%1,96B27/03 
 Legg Mason ClearBridge US Large Cap Growth Fund Cl0P0000.849,770-0,90%1,84B27/03 
 Legg Mason ClearBridge US Large Cap Growth Fund Cl0P0000.840,470-0,90%1,84B27/03 
 Legg Mason ClearBridge Value Fund Class A Euro Acc0P0000.239,550-0,71%1,37B27/03 
 Legg Mason Royce US Small Cap Opportunity Fund Cla0P0001.183,540-1,12%1,01B27/03 
 Legg Mason Royce US Small Cap Opportunity Fund Cla0P0000.296,290-0,72%998,76M27/03 
 Legg Mason Royce US Small Cap Opportunity Fund Cla0P0000.326,250-0,72%998,76M27/03 
 Legg Mason Royce US Small Cap Opportunity Fund Cla0P0000.358,670-1,12%953,72M27/03 
 Legg Mason ClearBridge US Equity Sustainability Le0P0001.148,600-0,38%951,57M27/03 

Luxemburg - Fonds

 NameSymbolAkt.+/- %Aktiva (gesamt)Zeit
 Templeton Asian Growth Fund N(acc)HUF0P0000.209,970+0,51%681,94B27/03 
 Templeton Asian Growth Fund A(acc)CZK H10P0000.106,440+0,76%42,02B27/03 
 Franklin U.S. Opportunities Fund N(acc)PLN H10P0000.53,040-0,60%30,33B27/03 
 Franklin India Fund A(acc)HKD0P0000.30,360+0,66%24,62B27/03 
 Franklin Japan Fund A(acc)JPY0P0000.1.718,400+0,63%21,2B27/03 
 Franklin Technology Fund A (Acc) SGD-H10P0001.23,020-1,37%15,55B27/03 
 Franklin India Fund N(acc)PLN-H10P0000.29,140+0,66%13,09B27/03 
 Franklin Technology Fund C acc USD0P0000.85,160-1,34%173,09M27/03 
 Franklin Technology Fund W acc USD0P0000.56,800-1,34%417,98M27/03 
 Franklin Technology Fund X acc USD0P0001.61,490-1,33%10,55M27/03 
 Franklin Technology Fund I acc USD0P0000.67,220-1,34%1,01B27/03 
 Franklin Technology Fund Z acc USD0P0000.68,490-1,34%26,49M27/03 
 Franklin Technology Fund N acc USD0P0000.36,490-1,35%352,7M27/03 
 Franklin Technology Fund A acc USD0P0000.45,550-1,34%4,41B27/03 
 Franklin Technology Fund I acc EUR0P0000.83,720-1,73%781,75M27/03 
 Franklin Technology Fund N acc EUR0P0000.33,860-1,71%428,24M27/03 
 Franklin Technology Fund A acc EUR0P0000.42,290-1,72%1,61B27/03 
 Franklin Technology Fund A (Acc) EUR-H10P0001.22,020-1,34%10,64B27/03 
 Franklin Technology Fund W acc EUR0P0000.73,680-1,73%113,6M27/03 
 Franklin U.S. Opportunities Fund A(acc)SGD-H10P0000.45,540-0,63%10,02B27/03 

Singapur - Fonds

 NameSymbolAkt.+/- %Aktiva (gesamt)Zeit
 Templeton Asian Smaller Companies Fund A acc SGD0P0000.57,280+0,46%4,81M27/03 
 Templeton Global Balanced Fund AS(acc)SGD0P0001.14,160-0,21%633,32M27/03 

Spanien - Fonds

 NameSymbolAkt.+/- %Aktiva (gesamt)Zeit
 Templeton Asian Growth A acc USD0P0000.38,810+0,75%502,21M27/03 
 Franklin Biotechnology Discovery Fund A(acc)USD0P0000.38,940-0,10%1,39B27/03 

Vereinigtes Königreich - Fonds

 NameSymbolAkt.+/- %Aktiva (gesamt)Zeit
 Franklin India Fund Z acc GBP0P0000.42,850+0,19%579,1K27/03 
 Franklin India Fund W acc GBP0P0000.44,400+0,18%88,61M27/03 
 Templeton Emerging Markets Smaller Companies Fund 0P0000.22,880+0,22%1,49M27/03 
 Templeton Emerging Markets Smaller Companies Fund 0P0000.28,670+0,21%23,71M27/03 
 Legg Mason QS Growth Fund Class A US$ Accumulating0P0001.162,950-0,13%88,42M27/03 
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