Performance / Kennzahlen

Kennzahlen

 EMF - I/TEMF - I/A*EMF - TEMF - A*LIBOR 12 MSMX
Monatliche Rendite August 20170.23%0.23%0.18%0.18%0.14%0.10%
Return YTD4.21%4.21%3.86%3.86%1.16%1.69%
Return since inception18.75%18.75%26.76%26.76%9.32%24.15%
Average annual return3.22%3.22%2.72%2.72%1.06%2.73%
Legende:
EMF - I/T: Anlageklasse Institutionell Thesaurierend
EMF - I/A Anlageklasse Institutionell Ausschüttend
EMF - T: Anlageklasse Thesaurierend
EMF - A: Anlageklasse Ausschüttend
*Ausschüttungen wurden berücksichtigt
 

Net Asset Value (NAV) – EMF Institutionell Thesaurierend

 

Net Asset Value (NAV) – EMF Institutionell Ausschüttend

 

Net Asset Value (NAV) – EMF Thesaurierend

 

Net Asset Value (NAV) – EMF Ausschüttend

 

Performance in %


 

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