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 Namn NAV / Kurs1d %1v %1m %3m %6m %i år %DatumAnnons
Snitt: 0,19 1,12 4,72 5,89 11,47 5,27-
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AA MMF FoM European Equities A-EUR 55,63EUR0,01,60,61,46,1-3,621/7
AB FCP I American Growth A 64,87USD1,12,99,79,19,64,722/7
AB FCP I American Income A 8,66USD0,71,77,210,710,912,022/7
AB FCP I China Opportunity A 39,51USD1,02,79,77,514,81,522/7
AB FCP I Dev Mkts Mlt Asst Inc AX 15,67USD0,81,96,910,412,89,722/7
AB FCP I Dynamic Diversified AX USD 20,16USD0,72,06,88,79,46,222/7
AB FCP I Emerging Markets Dbt A2 26,93EUR1,00,99,113,216,016,722/7
AB FCP I Emerging Markets Growth A USD 35,78USD0,81,99,312,821,111,322/7
AB FCP I Euro Value Port A 13,55EUR0,51,4-0,12,63,8-2,922/7
AB FCP I European Income A 7,25EUR0,60,93,26,38,28,622/7
AB FCP I Eurozone Strategic Value AX EUR 10,35EUR0,31,5-0,40,72,7-4,322/7
AB FCP I Global Bond A 8,29USD0,71,54,97,11,73,622/7
AB FCP I Global Equity Blend A 15,06USD1,12,27,37,211,73,822/7
AB FCP I Global Growth Trends A 54,97USD1,32,97,88,611,43,022/7
AB FCP I Global High Yield A 4,30USD1,42,28,212,314,213,422/7
AB FCP I Global High YieldA2 12,78EUR1,42,08,812,114,514,222/7
AB FCP I Global Value A 14,30USD0,91,66,85,812,34,722/7
AB FCP I Japan Strategic Val A 74,67EUR-0,30,79,48,49,41,022/7
AB FCP I Japan Strategic Val A 81,95USD-0,60,98,88,49,70,922/7
AB FCP I Mortgage Income AX USD Inc 6,82USD0,72,17,110,04,55,022/7