LU0203345920 | SISF QEP Global Active Value A Acc | € 23.471.721,26 | 65.312,96 | 3.593.731,0000 | 377,3418 | 359,3731 | 0,0700% | 20,6800% |
LU0248176017 | SISF QEP Global Active Value EUR A Acc | € 101.391.397,18 | 333.220,43 | 3.042.773,0000 | 319,4912 | 304,2773 | -0,3500% | 7,1200% |
LU0270818197 | SISF Japanese Opportunities A Acc | € 14.219.860.846,92 | 3.935.078,94 | 36.136.151,0000 | 3.794,2959 | 3.613,6151 | 0,3100% | 12,2100% |
LU0306804302 | SISF Global Climate Change Equity EUR Hg A Acc | € 156.666.586,42 | 7.610.538,45 | 205.855,0000 | 21,6148 | 20,5855 | -0,4700% | 12,6700% |
LU0319685854 | AMUNDI FUNDS EMERGING MARKETS EQUITY FOCUS A ACC. USD | € 35.749.087,91 | 244.930,12 | 14.596,0000 | 152,5282 | 145,9600 | 0,2000% | 18,5000% |
LU0347592197 | AMUNDI FUNDS EMERGING WORLD EQUITY A ACC. USD | € 39.457.027,25 | 279.153,25 | 14.135,0000 | 147,7107 | 141,3500 | 0,4000% | 20,8000% |
LU0365775922 | SISF Greater China EUR A Acc | € 210.826.028,20 | 2.788.017,48 | 756.186,0000 | 79,3995 | 75,6186 | 1,1300% | 11,5600% |
LU0374901568 | SISF Global Energy EUR A Acc | € 29.776.021,51 | 1.697.721,05 | 175.388,0000 | 18,4157 | 17,5388 | -0,1100% | 0,5900% |
LU0491680715 | SISF Emerging Markets AUD Hdg A Acc | € 662.973,58 | 3.971,07 | 1.669.509,0000 | 175,2984 | 166,9509 | 0,2500% | 19,4900% |
LU0552028184 | AMUNDI FUNDS EMERGING MARKETS EQUITY FOCUS A ACC. EUR | € 281.868.417,12 | 1.655.064,82 | 17.031,0000 | 177,9740 | 170,3100 | 0,1000% | 4,8000% |
LU0557290698 | SISF Global Demographic Opportunities A Acc | € 1.064.865.967,24 | 2.543.239,56 | 4.187.045,0000 | 439,6397 | 418,7045 | 0,0800% | 7,7600% |
LU0557291076 | SISF Global Demographic Opportunities EUR Hdg | € 176.329.263,01 | 541.789,14 | 3.254.574,0000 | 341,7303 | 325,4574 | 0,0800% | 5,9900% |
LU0557858130 | AMUNDI FUNDS EMERGING WORLD EQUITY A ACC. EUR | € 97.277.236,24 | 582.764,55 | 16.692,0000 | 174,4314 | 166,9200 | 0,3000% | 6,8000% |
LU0562313402 | SISF Frontier Markets Equity A Acc | € 245.128.215,22 | 816.402,13 | 3.002.543,0000 | 315,2670 | 300,2543 | -0,2900% | 22,0700% |
LU0607220059 | SISF Hong Kong Equity USD A Acc | € 94.658.887,48 | 1.619.358,85 | 584.545,0000 | 61,3772 | 58,4545 | 1,2800% | 21,7400% |
LU0613075240 | AMUNDI FUNDS EMERGING MARKETS EQUITY FOCUS A ACC. EUR HDG | € 45.056.525,12 | 390.453,87 | 1.154,0000 | 120,5930 | 115,4000 | 0,2000% | 16,5000% |
LU0671501558 | SISF Global Energy EUR Hdg A Acc | € 5.566.959,98 | 495.780,73 | 112.287,0000 | 11,7901 | 11,2287 | 0,2900% | 11,5400% |
LU0747139391 | SISF QEP Global Emerging Markets A Acc | € 2.342.565,92 | 16.184,15 | 1.447.444,0000 | 151,9816 | 144,7444 | 0,2700% | 23,4200% |
LU0747140563 | SISF QEP Global Emerging Markets EUR A Acc | € 3.420.763,94 | 20.814,63 | 1.643.442,0000 | 172,5614 | 164,3442 | -0,1400% | 9,5600% |
LU0757966410 | SISF QEP Global Emerging Markets GBP A Acc | € 15.523,92 | 91,21 | 1.701.997,0000 | 178,7097 | 170,1997 | -0,2600% | 14,2600% |
LU0820943859 | SISF Asian Equity Yield CHF A Acc | € 2.726.248,33 | 15.509,32 | 1.757.813,0000 | 184,5704 | 175,7813 | -0,0800% | 4,8100% |
LU0820944071 | SISF Asian Equity Yield EUR A Acc | € 21.385.293,23 | 94.409,54 | 2.265.162,0000 | 237,8420 | 226,5162 | -0,3400% | 5,1300% |
LU0847528352 | SISF European Special Situations GBP A Acc | € 563.240,31 | 2.401,61 | 2.345.261,0000 | 246,2524 | 234,5261 | -0,5400% | 0,4500% |
LU0867894346 | SISF Global Dividend Maximiser EUR Hdg A Acc | € 7.669.162,55 | 445.642,19 | 172.092,0000 | 18,0697 | 17,2092 | 0,3900% | 16,7400% |
LU0903425923 | SISF Japanese Equity USD Hdg A Acc | € 19.620.379,19 | 59.057,49 | 3.322.251,0000 | 348,8364 | 332,2251 | 0,4500% | 12,6700% |
LU0943301571 | SISF Japanese Opportunities EUR H A Acc | € 47.864.204,71 | 1.412.626,26 | 338.831,0000 | 35,5773 | 33,8831 | 0,3100% | 13,2700% |
LU0671501392 | Schroder ISF Global Dividend Maximiser A1 Distribution EUR Hedged QF | € 17.551.175,42 | 2.710.188,69 | 6.476,0000 | 6,7350 | 6,4760 | 0,3900% | 12,3500% |
Γεωγραφικά |
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LU0106259046 | SISF Latin America | € 64.258.395,62 | 1.310.750,54 | 490.241,0000 | 51,6043 | 49,0241 | 0,1400% | 28,9700% |
LU0248181363 | SISF Latin America | € 29.272.869,54 | 703.537,75 | 416.081,0000 | 43,7980 | 41,6081 | -0,2800% | 14,4800% |
Διεθνή |
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LU1046234768 | SISF European Alpha Absolute Return A Acc [EUR] | € 10.215.841,05 | 125.818,42 | 811.951,0000 | 83,6310 | 81,1951 | -0,0100% | -7,1300% |
LU1822774284 | BGF World Healthscience Fund A2 EUR Hdg | € 81.982.733,27 | 5.838.256,72 | 1.404,0000 | 14,7420 | 14,0400 | 0,2900% | 0,0000% |
LU2399670608 | Schroder ISF-GLOBAL SUSTAINABLE FOOD&WATER-A EUR ACC | € 2.364.545,07 | 24.708,30 | 956.984,0000 | 100,4833 | 95,6984 | -0,3200% | -0,2800% |
LU2665173949 | Schroder ISF Global Sustainable Value A EUR | € 13.991.783,03 | 104.558,30 | 133.818,0000 | 140,5089 | 133,8180 | 0,4300% | 18,8500% |
LU2665174160 | Schroder ISF Global Sustainable Value A1 EUR | € 1.486.376,42 | 11.210,43 | 1.325.887,0000 | 137,8922 | 132,5887 | 0,4200% | 18,4700% |
LU0133713007 | SISF Latin American A1 USD | € 87.230.048,59 | 1.968.837,16 | 443.054,0000 | 46,1515 | 44,3054 | 0,1400% | 28,5400% |
LU0248166992 | SISF Global Equity Yield | € 28.910.636,66 | 117.261,28 | 2.465.489,0000 | 259,5251 | 246,5489 | -0,0600% | 5,9600% |
LU0225284248 | SISF Global Equity Yield | € 42.890.337,61 | 148.581,50 | 2.886.654,0000 | 303,8583 | 288,6654 | 0,3500% | 19,3700% |
LU0228659867 | SISF BIC (Brazil, India, China) A1 Acc [USD] | € 40.106.147,71 | 165.104,72 | 2.429.134,0000 | 253,0348 | 242,9134 | 0,9500% | 17,7600% |
LU0248178229 | SISF Emerging Markets EUR A1 | € 41.286.095,50 | 2.618.666,83 | 157.661,0000 | 16,4230 | 15,7661 | -0,1700% | 7,1900% |
LU0248178906 | SISF BIC (Brazil, India, China) A1 Acc [EUR] | € 8.522.349,71 | 41.094,72 | 2.073.831,0000 | 216,0241 | 207,3831 | 0,5300% | 4,5300% |
LU0248184383 | SISF Latin American EUR A1 | € 4.117.995,22 | 109.160,00 | 377.244,0000 | 39,2963 | 37,7244 | -0,2800% | 14,1000% |
LU0306806265 | SISF Global Dividend Maximiser | € 20.692.718,57 | 1.219.495,32 | 169.683,0000 | 17,8614 | 16,9683 | 0,4000% | 18,8800% |
Ευρώπη |
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LU1910162970 | SISF European Sustainable Equity A Acc [EUR] | € 21.424.640,72 | 137.539,53 | 1.557.708,0000 | 163,5593 | 0,0000 | -0,2700% | 4,3200% |
LU2293689589 | SISF European Sustainable Equity A Acc A1 Acc [EUR] | € 3.341.543,58 | 29.226,17 | 114.334,0000 | 118,9074 | 0,0000 | -0,2700% | 3,9700% |
LU0106238719 | SISF Italian Equity | € 84.980.184,83 | 1.114.906,89 | 762.218,0000 | 80,2335 | 76,2218 | -0,1300% | 27,5400% |
LU0106244287 | SISF Swiss Equity | € 103.655.551,19 | 1.651.793,43 | 627.533,0000 | 66,0561 | 62,7533 | -0,4700% | 8,1700% |
LU0106244527 | SISF UK Equity | € 19.639.315,52 | 4.018.160,47 | 48.876,0000 | 5,1448 | 4,8876 | -0,3100% | 1,7800% |
LU0106235293 | SISF Euro Equity | € 259.087.637,15 | 4.685.949,85 | 552.903,0000 | 58,2003 | 55,2903 | -0,2400% | 17,5600% |
LU0106237406 | SISF European Smaller Companies | € 16.931.253,88 | 391.079,63 | 432.936,0000 | 45,5722 | 43,2936 | -0,4500% | 6,6000% |
LU0133714401 | SISF UK Equity A1 GBP | € 1.226.470,76 | 300.187,57 | 40.857,0000 | 4,2559 | 4,0857 | -0,3200% | 1,4400% |
LU0133716950 | SISF Emerging Europe A1 EUR | € 14.179.029,47 | 562.683,27 | 25.199,0000 | 26,2490 | 25,1990 | -0,5000% | 21,0900% |
LU0106817157 | SISF Emerging Europe | € 369.138.654,30 | 13.312.258,51 | 277.292,0000 | 29,1886 | 27,7292 | -0,5000% | 21,4900% |
LU0133710243 | SISF European Smaller Companies A1 EUR | € 11.204.942,92 | 288.594,60 | 388.259,0000 | 40,4436 | 38,8259 | -0,4500% | 6,2500% |
LU0133712025 | SISF Italian Equity A1 EUR | € 8.924.026,55 | 138.234,16 | 645.573,0000 | 67,2472 | 64,5573 | -0,1400% | 26,9000% |
LU0133713858 | SISF Swiss Equity A1 CHF | € 3.851.345,95 | 72.597,98 | 530.503,0000 | 55,2607 | 53,0503 | -0,4700% | 7,6300% |
LU0149524034 | SISF Swiss Small & Mid Cap Equity | € 78.409.303,55 | 1.379.324,67 | 568.462,0000 | 59,8381 | 56,8462 | -0,5800% | 11,9700% |
LU0149538414 | SISF Swiss Small Mid Cap A1 CHF | € 7.875.750,33 | 153.623,32 | 512.666,0000 | 53,4027 | 51,2666 | -0,5900% | 11,6000% |
LU0161304786 | SISF European Value A1 EUR | € 8.811.584,62 | 95.539,25 | 9.223,0000 | 96,0729 | 92,2300 | -0,2600% | 17,2900% |
LU0161305163 | SISF European Value | € 88.368.395,32 | 870.554,14 | 1.015.082,0000 | 106,8507 | 101,5082 | -0,2500% | 17,6900% |
LU0246035637 | SISF European Special Situations | € 106.985.118,05 | 437.471,90 | 2.445.531,0000 | 257,4243 | 244,5531 | -0,4200% | -3,9300% |
LU0246036528 | SISF European Special Sits A1 EUR | € 4.820.153,63 | 21.646,67 | 2.226.741,0000 | 231,9522 | 222,6741 | -0,4300% | -4,2500% |
LU0251572144 | SISF Emerging Europe USD A1 | € 20.604.648,75 | 701.154,26 | 293.868,0000 | 30,6113 | 29,3868 | -0,0900% | 36,4100% |
LU0251572656 | SISF European Smaller Cos USD A1 | € 9.708.455,71 | 213.836,52 | 454.013,0000 | 47,2930 | 45,4013 | -0,0400% | 19,7000% |
LU0319791538 | SISF European Dividend Maximiser | € 9.276.636,81 | 79.639,81 | 1.164.824,0000 | 122,6130 | 116,4824 | -0,1900% | 11,3300% |
LU0319791967 | SISF European Div Maxmsr A1 EUR | € 2.843.847,73 | 26.573,79 | 107.017,0000 | 111,4760 | 107,0170 | -0,2000% | 10,9600% |
LU0321371998 | Schroder ISF European Dividend Maximiser A Distribution QF | € 73.105.202,00 | 2.380.217,51 | 307.137,0000 | 32,2494 | 30,7137 | -0,1900% | 7,4500% |
Ιαπωνίας |
---|
LU0106239873 | SISF Japanese Equity | € 8.639.278.604,08 | 4.255.654,51 | 20.300.705,0000 | 2.136,9162 | 2.030,0705 | 0,4400% | 10,0500% |
LU0106242315 | SISF Japanese Smaller Companies | € 1.583.101.231,52 | 7.350.027,27 | 2.153.871,0000 | 226,7232 | 215,3871 | 0,3000% | 16,1300% |
LU0133712371 | SISF Japanese Equity A1 JPY | € 816.463.363,78 | 481.068,38 | 16.971.878,0000 | 1.767,9040 | 1.697,1878 | 0,4400% | 9,5000% |
LU0133712611 | SISF Japanese Smaller Companies A1 JPY | € 634.397.720,33 | 3.277.078,49 | 1.935.864,0000 | 201,6525 | 193,5864 | 0,2900% | 15,7500% |
LU0236737465 | SISF Japanese Equity Hdg | € 91.769.267,83 | 468.211,99 | 1.959.994,0000 | 206,3151 | 195,9994 | 0,4500% | 11,0100% |
LU0236738604 | SISF Japanese Equity EUR Hdg A1 | € 4.630.956,57 | 27.212,38 | 1.701.783,0000 | 177,2691 | 170,1783 | 0,4400% | 10,4500% |
LU0270819674 | SISF Japanese Opportunities A1 JPY | € 927.231.299,33 | 283.726,16 | 32.680.501,0000 | 3.404,2190 | 3.268,0501 | 0,3000% | 11,8400% |
LU0280807784 | SISF Japanese Opportunities | € 27.658.130,48 | 1.129.430,42 | 244.886,0000 | 25,7775 | 24,4886 | 0,3800% | 20,0200% |
LU0251570791 | SISF Japanese Smaller Cos EUR A1 | € 209.017,48 | 185.738,16 | 11.253,0000 | 1,1722 | 1,1253 | -0,0400% | 9,8400% |
LU0251572730 | SISF Japanese Smaller Cos USD A1 | € 759.795,06 | 578.373,94 | 13.137,0000 | 1,3684 | 1,3137 | 0,3700% | 23,8100% |
LU1453624402 | SISF Japanese Equity USD | € 1.922.815,66 | 155.834,00 | 123.389,0000 | 12,9558 | 12,3389 | 0,5200% | 17,7000% |
Αναπτυσσόμενες Αγορές |
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LU0049853897 | Schroder ISF Emerging Markets A Distribution AV | € 14.888.296,41 | 970.390,87 | 153.426,0000 | 16,1097 | 15,3426 | 0,2500% | 21,1600% |
LU0106252389 | SISF Emerging Markets | € 194.441.342,22 | 9.398.896,49 | 206.877,0000 | 21,7765 | 20,6877 | 0,2500% | 21,1600% |
LU0228659784 | SISF BIC (Brazil, India, China) A Acc [USD] | € 145.775.514,86 | 551.483,74 | 2.643.333,0000 | 278,2456 | 264,3333 | 0,9600% | 18,1500% |
LU0232931963 | SISF BIC (Brazil, India, China) A Acc [EUR] | € 55.473.823,19 | 245.802,22 | 2.256.848,0000 | 237,5629 | 225,6848 | 0,5400% | 4,8800% |
LU0279459456 | SISF Global Emerging Market Opportunities | € 132.765.822,14 | 4.896.364,48 | 271.152,0000 | 28,5423 | 27,1152 | -0,6900% | 8,2400% |
LU0248176959 | SISF Emerging Markets | € 349.696.222,13 | 19.843.206,96 | 17.623,0000 | 18,5505 | 17,6230 | -0,1600% | 7,5500% |
LU0269904917 | SISF Global Emerging Market Opportunities | € 135.979.446,03 | 5.533.317,93 | 245.747,0000 | 25,8681 | 24,5747 | -0,2800% | 21,9400% |
LU2342519290 | SISF QEP Emerging Markets Core A Class [EUR] | € 1.445,70 | 15,00 | 963.799,0000 | 101,1989 | 96,3799 | -0,3200% | 8,1600% |
LU2900358727 | SISF QEP Emerging Markets Core A Class [GBP] | € 1.672,25 | 15,00 | 1.114.837,0000 | 117,0579 | 111,4837 | -0,0100% | 13,3900% |
LU2342518565 | SISF QEP Emerging Markets Core A Class [USD] | € 1.403,01 | 15,00 | 93.534,0000 | 98,2107 | 93,5340 | -0,0300% | 22,1200% |
Ασία |
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LU0048388663 | Schroder ISF Asian Opportunities A Distribution AV | € 155.558.156,84 | 8.184.285,67 | 190.069,0000 | 19,9572 | 19,0069 | 0,4700% | 16,6400% |
LU0106259558 | SISF Asian Opportunities | € 267.126.732,50 | 10.217.870,24 | 261.431,0000 | 27,5191 | 26,1431 | 0,4700% | 16,6400% |
LU0133713346 | SISF Asian Opportunities A1 USD Acc | € 44.154.437,60 | 1.874.383,38 | 235.568,0000 | 24,5383 | 23,5568 | 0,4600% | 16,2500% |
LU0140636845 | SISF Greater China | € 964.399.415,63 | 10.894.305,72 | 885.233,0000 | 93,1824 | 88,5233 | 1,5500% | 25,6800% |
LU0161616080 | SISF Greater China A1 USD | € 40.273.910,01 | 501.787,08 | 80.261,0000 | 83,6052 | 80,2610 | 1,5500% | 25,2600% |
LU0181495838 | SISF Emerging Asia | € 548.520.628,34 | 9.184.448,80 | 597.228,0000 | 62,8661 | 59,7228 | 1,1100% | 20,4700% |
LU0181496216 | SISF Emerging Asia A1 USD | € 456.972.949,73 | 8.432.086,65 | 541.945,0000 | 56,4526 | 54,1945 | 1,1100% | 20,0700% |
LU0188438112 | SISF Asian Equity Yield | € 261.748.801,30 | 5.563.097,51 | 470.509,0000 | 49,5273 | 47,0509 | 0,0800% | 18,4300% |
LU0188439193 | SISF Asian Equity Yield A1USD | € 34.194.328,84 | 801.271,11 | 426.751,0000 | 44,4532 | 42,6751 | 0,0700% | 18,0400% |
LU0244355631 | SISF China Opportunities A1 USD | € 23.799.734,76 | 60.636,56 | 3.924.981,0000 | 408,8522 | 392,4981 | 2,2000% | 27,4100% |
LU0248172537 | SISF Emerging Asia | € 345.141.683,46 | 6.770.135,94 | 5.098,0000 | 53,6632 | 50,9800 | 0,6900% | 6,9400% |
LU0248174152 | SISF Emerging Asia EUR A1 | € 10.298.289,12 | 222.507,85 | 462.828,0000 | 48,2113 | 46,2828 | 0,6900% | 6,5800% |
LU0227179875 | SISF Asian Smaller Companies | € 4.220.185,41 | 13.979,27 | 3.018.888,0000 | 317,7777 | 301,8888 | -0,7200% | 5,1200% |
LU0227180295 | SISF Asian Smaller Companies A1 USD | € 1.115.151,79 | 4.055,70 | 2.749.591,0000 | 286,4157 | 274,9591 | -0,7200% | 4,7700% |
LU0244354667 | SISF China Opportunities | € 541.209.502,59 | 1.259.221,76 | 4.297.968,0000 | 452,4177 | 429,7968 | 2,2100% | 27,8400% |
LU0270814014 | SISF Taiwanese Equity | € 42.448.225,28 | 936.843,00 | 453.099,0000 | 47,6946 | 45,3099 | -1,6700% | 13,9400% |
LU0248179623 | SISF Asian Opportunities EUR A1 | € 7.995.182,16 | 397.712,16 | 201.029,0000 | 20,9405 | 20,1029 | 0,0500% | 3,1900% |
LU0248184466 | SISF Asian Opportunities | € 255.700.553,13 | 11.476.852,24 | 222.797,0000 | 23,4523 | 22,2797 | 0,0500% | 3,5400% |
LU0264410563 | SISF Indian Equity | € 171.986.289,05 | 509.195,08 | 3.377.611,0000 | 355,5380 | 337,7611 | 1,1800% | -2,4200% |
LU0264411371 | SISF Indian Equity A1 USD | € 10.870.841,41 | 35.124,73 | 3.094.925,0000 | 322,3880 | 309,4925 | 1,1800% | -2,7400% |
Κλαδικά |
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Διεθνή |
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LU0133703974 | SISF Emerging Markets A1 USD | € 34.991.517,81 | 1.894.761,85 | 184.675,0000 | 19,2370 | 18,4675 | 0,2500% | 20,7600% |
LU0203346738 | SISF QEP Global Active Value A1 USD | € 6.311.499,22 | 20.218,56 | 3.121.636,0000 | 325,1704 | 312,1636 | 0,0600% | 20,0700% |
LU0248167966 | SISF Global Eq Yield EUR A1 EUR | € 4.021.476,85 | 17.840,27 | 2.254.157,0000 | 234,8080 | 225,4157 | -0,0700% | 5,6000% |
LU0248173188 | SISF QEP Global Active Value EUR A1 | € 670.626,55 | 2.516,83 | 2.664.568,0000 | 277,5592 | 266,4568 | -0,3500% | 6,5800% |
LU0279460116 | SISF Glbl Emerging Mkt Opps EUR A1 | € 7.787.500,22 | 312.673,56 | 249.062,0000 | 25,9440 | 24,9062 | -0,7000% | 7,8800% |
LU0279460975 | SISF Global Energy EUR A1 | € 3.805.105,34 | 238.562,75 | 159.501,0000 | 16,6147 | 15,9501 | -0,1100% | 0,2500% |
LU0256331488 | SISF Global Energy | € 83.930.909,82 | 4.090.238,08 | 205.198,0000 | 21,5998 | 20,5198 | 0,3100% | 13,3200% |
LU0256332296 | SISF Global Energy A1 USD | € 63.587.127,71 | 3.386.020,65 | 187.793,0000 | 19,5618 | 18,7793 | 0,3000% | 12,9400% |
LU0269905484 | SISF Global Emgng Mkt Opps A1 USD | € 26.792.893,71 | 1.187.837,06 | 22.556,0000 | 23,4958 | 22,5560 | -0,2800% | 21,5300% |
LU0302445910 | SISF Glbl Climate Change Eq USD A | € 438.682.245,12 | 16.246.865,25 | 27.001,0000 | 28,4221 | 27,0010 | -0,4600% | 14,6400% |
LU0302446645 | SISF Global Climate Change Equity | € 283.214.082,62 | 9.098.771,96 | 311.266,0000 | 32,7648 | 31,1266 | -0,8800% | 1,7600% |
LU0306805531 | SISF Glbl Climate Change Eq EUR Hdg A1 | € 12.787.370,80 | 675.026,09 | 189.435,0000 | 19,7328 | 18,9435 | -0,4700% | 12,3000% |
LU0308882272 | SISF Global Div Maximiser A1 USD | € 7.317.757,29 | 469.987,03 | 155.701,0000 | 16,2189 | 15,5701 | 0,4000% | 18,4900% |
LU0306807586 | Schroder ISF Global Dividend Maximiser A Distribution QF | € 164.356.387,51 | 37.460.493,06 | 43.875,0000 | 4,6069 | 4,3875 | 0,4000% | 14,7600% |
LU0562314046 | Schroder ISF Frontier Markets Equity USD A1 ACC | € 20.562.150,72 | 73.425,19 | 2.800.422,0000 | 291,2439 | 280,0422 | -0,2900% | 21,6700% |
LU2407913743 | Schroder ISF Frontier Markets Equity EUR A ACC | € 35.660.459,05 | 232.801,77 | 1.531.795,0000 | 160,8385 | 153,1795 | -0,7100% | 8,3500% |
LU2407913826 | Schroder ISF Frontier Markets Equity EUR A1 ACC | € 1.041.883,22 | 6.925,09 | 1.504.505,0000 | 156,4685 | 150,4505 | -0,7100% | 7,9900% |
Ευρώπης |
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LU0133706308 | SISF EURO Equity A1 EUR | € 19.841.013,38 | 402.755,50 | 492.632,0000 | 51,3158 | 49,2632 | -0,2400% | 17,1600% |
LU0150928074 | SISF EURO Eqt (USD denominated) A1 USD | € 4.674.629,76 | 81.105,66 | 576.363,0000 | 60,0378 | 57,6363 | 0,1700% | 32,0500% |