DNCA INVEST: Fusion von kollektiven Kapitalanlagen bzw. von Teilvermögen vom 25.07.2025

Fondsname  YTD  1 M  3 M  6 M  1 Y  2 Y  3 Y  5 Y  MyFunds
DNCA INVEST - EXPLORER SMID EURO Class N
LU2882334464
+27.96% +4.23% +1.86% +32.98% +25.77% +46.34% +70.89% +62.53%
DNCA INVEST - EXPLORER SMID EURO Class SI
LU2882334209
Q
+28.31% +4.26% +1.94% +33.19% +26.23% +47.24% +72.53% +65.78%
DNCA INVEST - FLEX INFLATION Class A
LU1694790038
+1.02% +0.19% +1.12% +2.41% -0.90% +6.12% +4.17% +13.36%
DNCA INVEST - FLEX INFLATION Class B
LU1694790202
+0.93% +0.16% +1.04% +2.29% -1.03% +5.87% +5.09% +12.90%
DNCA INVEST - FLEX INFLATION Class I
LU1694789964
Q
+1.68% +0.31% +1.34% +2.81% -0.46% +7.04% +5.49% +16.09%
DNCA INVEST - FLEX INFLATION Class N
LU1694790384
Q
+1.50% +0.29% +1.29% +2.69% -0.62% +6.54% +4.64% +14.85%
DNCA INVEST - FLEX INFLATION Class SI
LU1728554582
Q
+1.77% +0.32% +1.37% +2.86% -0.37% +7.21% +6.60% +16.85%
DNCA INVEST - Global Convertibles Class A
LU2595402673
+14.10% +3.82% +5.47% +17.37% +13.48%
DNCA INVEST - Global Convertibles Class I
LU2595402327
+14.75% +3.88% +5.65% +17.81% +14.24%
DNCA INVEST - Global Convertibles Class N
LU2595402830
+8.06% +1.04% +11.56% +7.65% +9.44% +9.63%
/ Zur MyFunds-Liste hinzufügen / Von MyFunds-Liste löschen
/ Zur Vergleichs-Liste hinzufügen / Von Vergleichs-Liste löschen
Q
Fonds für qualifizierte Anleger
E
Fonds ist ein ETF / Fonds ist ein ETSF
S
Fonds ist ein Sponsored Fund