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FONDSLEISTUNGEN

FOND NAV DAILY CHANGE WÄHRUNG PERF. YTD PERF. 3yrs FACTSHEET FONDSTYP ISIN
Archea Europe 308.05
02/12/2024
+2.25
+0.74%
EUR +4.9% +13.73% Equity Fond LU0159350494
Archea Patrimoine 266.66
02/12/2024
+2.81
+1.06%
EUR +13.17% +14.47% Equity Fund LU0090906651
Archea Nordam 478.59
02/12/2024
+4.32
+0.91%
USD +33.3% +42.23% Equity Fond LU0160371257
Archea Asia Innovators 94.84
02/12/2024
+0.11
+0.12%
USD +1.56% -27.82% Equity Fond LU2009200663
Archea GlobIQ 128.81
02/12/2024
+0.63
+0.49%
EUR +14.46% +11.03% Global Quant Fond LU1132725034
Archea Bond Selection 145.92
02/12/2024
+0.13
+0.09%
EUR - +4.39% Bond Fond LU0796785466
Archea Europe 308.05
02/12/2024
+2.25
+0.74%
EUR +4.9% +13.73% Equity Fond LU0159350494
Archea Patrimoine 266.66
02/12/2024
+2.81
+1.06%
EUR +13.17% +14.47% Equity Fund LU0090906651
Archea Nordam 478.59
02/12/2024
+4.32
+0.91%
USD +33.3% +42.23% Equity Fond LU0160371257
Archea Asia Innovators 94.84
02/12/2024
+0.11
+0.12%
USD +1.56% -27.82% Equity Fond LU2009200663
Archea GlobIQ 128.81
02/12/2024
+0.63
+0.49%
EUR +14.46% +11.03% Global Quant Fond LU1132725034
Archea Bond Selection 145.92
02/12/2024
+0.13
+0.09%
EUR - +4.39% Bond Fond LU0796785466

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