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FONDSLEISTUNGEN

FOND NAV DAILY CHANGE WÄHRUNG PERF. YTD PERF. 3yrs FACTSHEET FONDSTYP ISIN
Archea Europe 308.65
02/01/2025
+0.78
+0.25%
EUR +0.25% +6.08% Equity Fond LU0159350494
Archea Patrimoine 265.76
02/01/2025
+1.65
+0.62%
EUR +0.62% +8.82% Equity Fund LU0090906651
Archea Nordam 477.47
02/01/2025
+1.36
+0.29%
USD +0.29% +41.05% Equity Fond LU0160371257
Archea Asia Innovators 92.84
02/01/2025
-0.33
-0.35%
USD -0.35% -27.63% Equity Fond LU2009200663
Archea GlobIQ 127.88
02/01/2025
+1.43
+1.13%
EUR +1.13% +6.33% Global Quant Fond LU1132725034
Archea Bond Selection 147.16
02/01/2025
+0
+0%
EUR +0% +4.76% Bond Fond LU0796785466
Archea Europe 308.65
02/01/2025
+0.78
+0.25%
EUR +0.25% +6.08% Equity Fond LU0159350494
Archea Patrimoine 265.76
02/01/2025
+1.65
+0.62%
EUR +0.62% +8.82% Equity Fund LU0090906651
Archea Nordam 477.47
02/01/2025
+1.36
+0.29%
USD +0.29% +41.05% Equity Fond LU0160371257
Archea Asia Innovators 92.84
02/01/2025
-0.33
-0.35%
USD -0.35% -27.63% Equity Fond LU2009200663
Archea GlobIQ 127.88
02/01/2025
+1.43
+1.13%
EUR +1.13% +6.33% Global Quant Fond LU1132725034
Archea Bond Selection 147.16
02/01/2025
+0
+0%
EUR +0% +4.76% Bond Fond LU0796785466

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