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 Namn NAV / Kurs1d %1v %1m %3m %6m %i år %DatumAnnons
Snitt: 0,12- 0,11 1,65 2,09 10,02 9,83-
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10TEN Kvanthedge 99,83SEK-0,0-0,20,0--29/11
AA MMF FoM European Equities A-EUR 57,15EUR0,71,02,81,36,92,75/12
AB FCP I American Growth A 63,95USD-0,6-2,44,34,413,08,76/12
AB FCP I American Income A 8,33USD-0,2-0,70,25,113,615,86/12
AB FCP I China Opportunity A 40,85USD-0,1-2,10,51,820,610,66/12
AB FCP I Dev Mkts Mlt Asst Inc AX 15,30USD-0,4-0,23,65,413,714,56/12
AB FCP I Dynamic Diversified AX USD 20,00USD-0,1-0,43,95,513,111,06/12
AB FCP I Emerging Markets Dbt A2 26,82EUR0,60,3-1,52,813,519,86/12
AB FCP I Emerging Markets Growth A USD 35,49USD0,2-0,20,2-0,917,416,46/12
AB FCP I European Equity A EUR Acc 14,35EUR0,31,03,04,69,66,06/12
AB FCP I European Income A 7,07EUR-0,10,7-2,50,46,710,96/12
AB FCP I Eurozone Equity AX EUR Acc 11,39EUR0,71,63,35,512,18,56/12
AB FCP I Global Bond A 8,15USD-0,3-0,71,36,911,98,46/12
AB FCP I Global Equity Blend A 15,24USD0,2-0,65,15,014,410,66/12
AB FCP I Global High Yield A 4,24USD-0,10,02,38,018,421,06/12
AB FCP I Global High YieldA2 13,24EUR0,50,02,58,218,421,96/12
AB FCP I Global Value A 14,81USD0,40,57,88,315,914,26/12
AB FCP I Japan Strategic Val A 82,51EUR1,3-0,63,49,025,014,96/12
AB FCP I Japan Strategic Val A 88,39USD0,7-1,13,18,624,814,76/12
AB FCP I Mortgage Income AX USD Inc 6,78USD-0,2-0,11,77,916,912,46/12