AVO 30 privat (AT) |
ISIN:
AT0000A2KW78
|
Beginn of tranche:
30.11.2020
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
0.75 %
|
Value:
101.43
|
Date:
07.06.2023
|
|
Show details
|
|
AVO 30 privat (RT) |
ISIN:
AT0000A2KW86
|
Beginn of tranche:
30.11.2020
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
0.63 %
|
Value:
101.18
|
Date:
07.06.2023
|
|
Show details
|
|
AVO 30 privat (XT) |
ISIN:
AT0000A2KW94
|
Beginn of tranche:
30.11.2020
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
0.88 %
|
Value:
101.71
|
Date:
07.06.2023
|
|
Show details
|
|
Belvedere Stock-kicker Fonds (A) |
ISIN:
AT0000A2UTY4
|
Beginn of tranche:
22.12.2021
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
-7.07 %
|
Value:
89.04
|
Date:
07.06.2023
|
|
Show details
|
|
Belvedere Stock-kicker Fonds (T) |
ISIN:
AT0000A2UTZ1
|
Beginn of tranche:
22.12.2021
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
-7.08 %
|
Value:
89.85
|
Date:
07.06.2023
|
|
Show details
|
|
Deka-SektorInvest (VTIA) |
ISIN:
AT0000A34MN2
|
Beginn of tranche:
01.06.2023
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
-
|
Value:
101.31
|
Date:
07.06.2023
|
|
Show details
|
|
Dragon I (VA) |
ISIN:
AT0000A07HM0
|
Beginn of tranche:
07.11.2007
|
5 years p.a.:
-0.27 %
|
10 years p.a.:
1.59 %
|
Since beginning:
1.38 %
|
Value:
123.87
|
Date:
07.06.2023
|
|
Show details
|
|
EBPM (T) |
ISIN:
AT0000A17Z11
|
Beginn of tranche:
31.07.2014
|
5 years p.a.:
3.90 %
|
10 years p.a.:
-
|
Since beginning:
3.50 %
|
Value:
133.01
|
Date:
28.04.2023
|
|
Show details
|
|
EBPM (TF) |
ISIN:
AT0000A17Z29
|
Beginn of tranche:
30.06.2014
|
5 years p.a.:
3.71 %
|
10 years p.a.:
-
|
Since beginning:
2.94 %
|
Value:
128.30
|
Date:
28.04.2023
|
|
Show details
|
|
Ecology Stock Europe (RA) |
ISIN:
AT0000A09YJ7
|
Beginn of tranche:
01.09.2008
|
5 years p.a.:
-1.38 %
|
10 years p.a.:
3.92 %
|
Since beginning:
3.69 %
|
Value:
155.94
|
Date:
07.06.2023
|
|
Show details
|
|
Euro BondPortfolio (A) |
ISIN:
AT0000604376
|
Beginn of tranche:
24.03.2005
|
5 years p.a.:
-1.32 %
|
10 years p.a.:
0.40 %
|
Since beginning:
1.90 %
|
Value:
94.14
|
Date:
07.06.2023
|
|
Show details
|
|
Euro BondPortfolio (T) |
ISIN:
AT0000604384
|
Beginn of tranche:
24.03.2005
|
5 years p.a.:
-1.32 %
|
10 years p.a.:
0.41 %
|
Since beginning:
1.90 %
|
Value:
126.01
|
Date:
07.06.2023
|
|
Show details
|
|
Excellent ESG European Equity Fund (T) |
ISIN:
AT0000A2QP63
|
Beginn of tranche:
03.05.2021
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
-5.54 %
|
Value:
88.74
|
Date:
07.06.2023
|
|
Show details
|
|
Excellent ESG European Equity Fund (TCHF) |
ISIN:
AT0000A2QP71
|
Beginn of tranche:
03.05.2021
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
-5.58 %
|
Value:
88.45
|
Date:
07.06.2023
|
|
Show details
|
|
Excellent ESG Global Bond Fund (T) |
ISIN:
AT0000A07ST2
|
Beginn of tranche:
27.12.2007
|
5 years p.a.:
-1.12 %
|
10 years p.a.:
1.39 %
|
Since beginning:
1.11 %
|
Value:
1,110.16
|
Date:
07.06.2023
|
|
Show details
|
|
Excellent ESG Global Bond Fund (TCHF) |
ISIN:
AT0000A0X9M3
|
Beginn of tranche:
02.11.2012
|
5 years p.a.:
-1.72 %
|
10 years p.a.:
-0.41 %
|
Since beginning:
-0.11 %
|
Value:
92.24
|
Date:
07.06.2023
|
|
Show details
|
|
FOCUS 1200 (IA) |
ISIN:
AT0000A17HF3
|
Beginn of tranche:
30.05.2014
|
5 years p.a.:
0.04 %
|
10 years p.a.:
-
|
Since beginning:
1.02 %
|
Value:
106.98
|
Date:
07.06.2023
|
|
Show details
|
|
FOCUS 1200 (RA) |
ISIN:
AT0000A067F0
|
Beginn of tranche:
01.10.2007
|
5 years p.a.:
-0.09 %
|
10 years p.a.:
1.28 %
|
Since beginning:
1.25 %
|
Value:
115.82
|
Date:
07.06.2023
|
|
Show details
|
|
FOCUS 1300 (IT) |
ISIN:
AT0000702667
|
Beginn of tranche:
06.12.2001
|
5 years p.a.:
-0.12 %
|
10 years p.a.:
1.71 %
|
Since beginning:
1.75 %
|
Value:
132.31
|
Date:
07.06.2023
|
|
Show details
|
|
FOCUS 1300 (RA) |
ISIN:
AT0000A12GL4
|
Beginn of tranche:
31.10.2013
|
5 years p.a.:
-0.30 %
|
10 years p.a.:
-
|
Since beginning:
1.43 %
|
Value:
110.39
|
Date:
07.06.2023
|
|
Show details
|
|
FOCUS 1500 (IA) |
ISIN:
AT0000A190N4
|
Beginn of tranche:
19.08.2014
|
5 years p.a.:
0.57 %
|
10 years p.a.:
-
|
Since beginning:
2.47 %
|
Value:
118.18
|
Date:
07.06.2023
|
|
Show details
|
|
FOCUS 1500 (RA) |
ISIN:
AT0000617667
|
Beginn of tranche:
17.05.2004
|
5 years p.a.:
0.37 %
|
10 years p.a.:
2.15 %
|
Since beginning:
3.83 %
|
Value:
134.39
|
Date:
07.06.2023
|
|
Show details
|
|
FOCUS 1500 (RVA) |
ISIN:
AT0000A07M67
|
Beginn of tranche:
31.10.2007
|
5 years p.a.:
0.34 %
|
10 years p.a.:
2.13 %
|
Since beginning:
1.42 %
|
Value:
190.30
|
Date:
07.06.2023
|
|
Show details
|
|
FOCUS Equitable Values (IA) |
ISIN:
AT0000A1YXT0
|
Beginn of tranche:
30.11.2017
|
5 years p.a.:
0.70 %
|
10 years p.a.:
-
|
Since beginning:
0.77 %
|
Value:
102.69
|
Date:
07.06.2023
|
|
Show details
|
|
FOCUS Equitable Values (RA) |
ISIN:
AT0000A2CFU9
|
Beginn of tranche:
31.01.2020
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
-1.85 %
|
Value:
91.62
|
Date:
07.06.2023
|
|
Show details
|
|
FOCUS Equitable Values (RT) |
ISIN:
AT0000A1YXU8
|
Beginn of tranche:
30.11.2017
|
5 years p.a.:
0.27 %
|
10 years p.a.:
-
|
Since beginning:
0.34 %
|
Value:
100.72
|
Date:
07.06.2023
|
|
Show details
|
|
Grenbell World (T) |
ISIN:
AT0000A1AY53
|
Beginn of tranche:
30.12.2014
|
5 years p.a.:
1.72 %
|
10 years p.a.:
-
|
Since beginning:
2.18 %
|
Value:
117.13
|
Date:
07.06.2023
|
|
Show details
|
|
PrivatPortfolio I (IA) |
ISIN:
AT0000A0AMM0
|
Beginn of tranche:
01.09.2008
|
5 years p.a.:
0.20 %
|
10 years p.a.:
1.58 %
|
Since beginning:
2.79 %
|
Value:
1,173.64
|
Date:
07.06.2023
|
|
Show details
|
|
PrivatPortfolio I (IT) |
ISIN:
AT0000A0AMN8
|
Beginn of tranche:
01.09.2008
|
5 years p.a.:
0.20 %
|
10 years p.a.:
1.58 %
|
Since beginning:
2.78 %
|
Value:
1,417.72
|
Date:
07.06.2023
|
|
Show details
|
|
PrivatPortfolio I (RA) |
ISIN:
AT0000A2N2C9
|
Beginn of tranche:
15.02.2021
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
-2.45 %
|
Value:
92.67
|
Date:
07.06.2023
|
|
Show details
|
|
PrivatPortfolio I (RT) |
ISIN:
AT0000A2N2D7
|
Beginn of tranche:
15.02.2021
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
-2.50 %
|
Value:
94.15
|
Date:
07.06.2023
|
|
Show details
|
|
PrivatPortfolio II (IA) |
ISIN:
AT0000A0AMP3
|
Beginn of tranche:
01.09.2008
|
5 years p.a.:
2.79 %
|
10 years p.a.:
4.05 %
|
Since beginning:
4.40 %
|
Value:
1,550.17
|
Date:
07.06.2023
|
|
Show details
|
|
PrivatPortfolio II (IT) |
ISIN:
AT0000A0AMQ1
|
Beginn of tranche:
01.09.2008
|
5 years p.a.:
2.79 %
|
10 years p.a.:
4.05 %
|
Since beginning:
4.40 %
|
Value:
1,764.02
|
Date:
07.06.2023
|
|
Show details
|
|
PrivatPortfolio II (RA) |
ISIN:
AT0000A2N2E5
|
Beginn of tranche:
15.02.2021
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
0.00 %
|
Value:
96.50
|
Date:
07.06.2023
|
|
Show details
|
|
PrivatPortfolio II (RT) |
ISIN:
AT0000A2N2F2
|
Beginn of tranche:
15.02.2021
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
-0.04 %
|
Value:
99.40
|
Date:
07.06.2023
|
|
Show details
|
|
PrivatPortfolio III (IA) |
ISIN:
AT0000A0AMR9
|
Beginn of tranche:
01.09.2008
|
5 years p.a.:
5.14 %
|
10 years p.a.:
6.31 %
|
Since beginning:
5.64 %
|
Value:
1,964.51
|
Date:
07.06.2023
|
|
Show details
|
|
PrivatPortfolio III (IT) |
ISIN:
AT0000A0AMS7
|
Beginn of tranche:
01.09.2008
|
5 years p.a.:
5.14 %
|
10 years p.a.:
6.31 %
|
Since beginning:
5.64 %
|
Value:
2,114.88
|
Date:
07.06.2023
|
|
Show details
|
|
PrivatPortfolio III (RA) |
ISIN:
AT0000A2N2G0
|
Beginn of tranche:
15.02.2021
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
2.65 %
|
Value:
103.06
|
Date:
07.06.2023
|
|
Show details
|
|
PrivatPortfolio III (RT) |
ISIN:
AT0000A2N2H8
|
Beginn of tranche:
15.02.2021
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
2.63 %
|
Value:
105.70
|
Date:
07.06.2023
|
|
Show details
|
|
PrivatPortfolio IV (IA) |
ISIN:
AT0000A0F0E1
|
Beginn of tranche:
14.10.2009
|
5 years p.a.:
-1.50 %
|
10 years p.a.:
-0.16 %
|
Since beginning:
1.02 %
|
Value:
885.81
|
Date:
07.06.2023
|
|
Show details
|
|
PrivatPortfolio IV (IT) |
ISIN:
AT0000A0F0F8
|
Beginn of tranche:
14.10.2009
|
5 years p.a.:
-1.50 %
|
10 years p.a.:
-0.16 %
|
Since beginning:
1.02 %
|
Value:
1,098.43
|
Date:
07.06.2023
|
|
Show details
|
|
PrivatPortfolio IV (RA) |
ISIN:
AT0000A2N2J4
|
Beginn of tranche:
15.02.2021
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
-4.50 %
|
Value:
88.95
|
Date:
07.06.2023
|
|
Show details
|
|
PrivatPortfolio IV (RT) |
ISIN:
AT0000A2N2K2
|
Beginn of tranche:
15.02.2021
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
-4.52 %
|
Value:
89.86
|
Date:
07.06.2023
|
|
Show details
|
|
Spängler Family Business Trust (T) |
ISIN:
AT0000A0JDU3
|
Beginn of tranche:
01.09.2010
|
5 years p.a.:
0.68 %
|
10 years p.a.:
3.84 %
|
Since beginning:
5.19 %
|
Value:
178.70
|
Date:
07.06.2023
|
|
Show details
|
|
SpänglerPrivat: Alternativ (IT) |
ISIN:
AT0000A0AML2
|
Beginn of tranche:
03.11.2008
|
5 years p.a.:
3.22 %
|
10 years p.a.:
2.06 %
|
Since beginning:
1.89 %
|
Value:
1,270.76
|
Date:
15.05.2023
|
|
Show details
|
|
SpänglerPrivat: Alternativ (RT) |
ISIN:
AT0000A1FQM8
|
Beginn of tranche:
10.08.2015
|
5 years p.a.:
2.68 %
|
10 years p.a.:
-
|
Since beginning:
0.00 %
|
Value:
111.08
|
Date:
15.05.2023
|
|
Show details
|
|
SpänglerPrivat: CARL Aktien FoF (IT) |
ISIN:
AT0000A2SPR0
|
Beginn of tranche:
06.10.2021
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
6.51 %
|
Value:
110.83
|
Date:
07.06.2023
|
|
Show details
|
|
SpänglerPrivat: CARL Aktien FoF (IT2) |
ISIN:
AT0000A2SPS8
|
Beginn of tranche:
06.10.2021
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
6.71 %
|
Value:
111.13
|
Date:
07.06.2023
|
|
Show details
|
|
SpänglerPrivat: CARL Aktien FoF (RT) |
ISIN:
AT0000A2U4Z7
|
Beginn of tranche:
24.11.2021
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
0.15 %
|
Value:
98.55
|
Date:
07.06.2023
|
|
Show details
|
|
SpänglerPrivat: CARL Aktien FoF (RT2) |
ISIN:
AT0000A2SPQ2
|
Beginn of tranche:
06.10.2021
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
5.98 %
|
Value:
110.06
|
Date:
07.06.2023
|
|
Show details
|
|
SpänglerPrivat: CARL Anleihen FoF (IT) |
ISIN:
AT0000A2SPU4
|
Beginn of tranche:
06.10.2021
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
-5.88 %
|
Value:
90.39
|
Date:
07.06.2023
|
|
Show details
|
|
SpänglerPrivat: CARL Anleihen FoF (IT2) |
ISIN:
AT0000A2SPV2
|
Beginn of tranche:
06.10.2021
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
-5.65 %
|
Value:
90.75
|
Date:
07.06.2023
|
|
Show details
|
|
SpänglerPrivat: CARL Anleihen FoF (RT) |
ISIN:
AT0000A2U501
|
Beginn of tranche:
24.11.2021
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
-7.06 %
|
Value:
89.27
|
Date:
07.06.2023
|
|
Show details
|
|
SpänglerPrivat: CARL Anleihen FoF (RT2) |
ISIN:
AT0000A2SPT6
|
Beginn of tranche:
06.10.2021
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
-6.29 %
|
Value:
89.73
|
Date:
07.06.2023
|
|
Show details
|
|
SpänglerPrivat: CARL Flexibel FoF (IT) |
ISIN:
AT0000A2SPX8
|
Beginn of tranche:
06.10.2021
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
4.26 %
|
Value:
107.21
|
Date:
07.06.2023
|
|
Show details
|
|
SpänglerPrivat: CARL Flexibel FoF (IT2) |
ISIN:
AT0000A2SPY6
|
Beginn of tranche:
06.10.2021
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
4.50 %
|
Value:
107.62
|
Date:
07.06.2023
|
|
Show details
|
|
SpänglerPrivat: CARL Flexibel FoF (RT) |
ISIN:
AT0000A2U519
|
Beginn of tranche:
24.11.2021
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
-2.06 %
|
Value:
95.24
|
Date:
07.06.2023
|
|
Show details
|
|
SpänglerPrivat: CARL Flexibel FoF (RT2) |
ISIN:
AT0000A2SPW0
|
Beginn of tranche:
06.10.2021
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
3.79 %
|
Value:
106.41
|
Date:
07.06.2023
|
|
Show details
|
|
SpänglerPrivat: Ertrag Plus (IA) |
ISIN:
AT0000823596
|
Beginn of tranche:
01.10.1997
|
5 years p.a.:
0.14 %
|
10 years p.a.:
1.49 %
|
Since beginning:
2.28 %
|
Value:
69.67
|
Date:
07.06.2023
|
|
Show details
|
|
SpänglerPrivat: Ertrag Plus (RA) |
ISIN:
AT0000A0ZYA7
|
Beginn of tranche:
02.05.2013
|
5 years p.a.:
-0.50 %
|
10 years p.a.:
0.83 %
|
Since beginning:
0.68 %
|
Value:
99.75
|
Date:
07.06.2023
|
|
Show details
|
|
SpänglerPrivat: Ertrag Plus (RT) |
ISIN:
AT0000A0ZYB5
|
Beginn of tranche:
02.05.2013
|
5 years p.a.:
-0.50 %
|
10 years p.a.:
0.83 %
|
Since beginning:
0.68 %
|
Value:
106.28
|
Date:
07.06.2023
|
|
Show details
|
|
SpänglerPrivat: Flexibel (ESG) (IA2) |
ISIN:
AT0000A28J83
|
Beginn of tranche:
01.07.2019
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
3.77 %
|
Value:
112.90
|
Date:
07.06.2023
|
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Show details
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SpänglerPrivat: Flexibel (ESG) (IT) |
ISIN:
AT0000A2VQ40
|
Beginn of tranche:
16.03.2022
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
1.41 %
|
Value:
102.90
|
Date:
07.06.2023
|
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Show details
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SpänglerPrivat: Flexibel (ESG) (IT2) |
ISIN:
AT0000A18WY1
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Beginn of tranche:
01.08.2014
|
5 years p.a.:
2.41 %
|
10 years p.a.:
-
|
Since beginning:
2.00 %
|
Value:
117.62
|
Date:
07.06.2023
|
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Show details
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SpänglerPrivat: Flexibel (ESG) (RA) |
ISIN:
AT0000A28J91
|
Beginn of tranche:
01.07.2019
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
2.68 %
|
Value:
108.90
|
Date:
07.06.2023
|
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Show details
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SpänglerPrivat: Flexibel (ESG) (RT) |
ISIN:
AT0000A18WC7
|
Beginn of tranche:
01.08.2014
|
5 years p.a.:
1.38 %
|
10 years p.a.:
-
|
Since beginning:
0.96 %
|
Value:
107.57
|
Date:
07.06.2023
|
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Show details
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SpänglerPrivat: Global Brands und Dividends (IA) |
ISIN:
AT0000A31P72
|
Beginn of tranche:
25.11.2022
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
-
|
Value:
98.49
|
Date:
07.06.2023
|
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Show details
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SpänglerPrivat: Global Brands und Dividends (IT) |
ISIN:
AT0000A339A4
|
Beginn of tranche:
19.04.2023
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
-
|
Value:
99.99
|
Date:
07.06.2023
|
|
Show details
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SpänglerPrivat: Global Brands und Dividends (RA) |
ISIN:
AT0000A31P64
|
Beginn of tranche:
25.11.2022
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
-
|
Value:
97.36
|
Date:
07.06.2023
|
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Show details
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SpänglerPrivat: Global Brands und Dividends (RA0) |
ISIN:
AT0000681895
|
Beginn of tranche:
31.10.2002
|
5 years p.a.:
7.94 %
|
10 years p.a.:
8.35 %
|
Since beginning:
4.56 %
|
Value:
207.49
|
Date:
07.06.2023
|
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Show details
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SpänglerPrivat: Global Brands und Dividends (RT) |
ISIN:
AT0000A33990
|
Beginn of tranche:
19.04.2023
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
-
|
Value:
99.83
|
Date:
07.06.2023
|
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Show details
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SpänglerPrivat: Substanz (IT) |
ISIN:
AT0000A2VQ57
|
Beginn of tranche:
16.03.2022
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
2.63 %
|
Value:
103.52
|
Date:
07.06.2023
|
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Show details
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SpänglerPrivat: Substanz (IT2) |
ISIN:
AT0000654363
|
Beginn of tranche:
03.02.2003
|
5 years p.a.:
5.07 %
|
10 years p.a.:
6.88 %
|
Since beginning:
6.12 %
|
Value:
307.51
|
Date:
07.06.2023
|
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Show details
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SpänglerPrivat: Substanz (RT) |
ISIN:
AT0000A1ADV8
|
Beginn of tranche:
01.12.2014
|
5 years p.a.:
4.01 %
|
10 years p.a.:
-
|
Since beginning:
4.31 %
|
Value:
138.29
|
Date:
07.06.2023
|
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Show details
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SpänglerPrivat: Top Aktien (IT) |
ISIN:
AT0000A2VQ65
|
Beginn of tranche:
16.03.2022
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
3.23 %
|
Value:
105.12
|
Date:
07.06.2023
|
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Show details
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SpänglerPrivat: Top Aktien (IT2) |
ISIN:
AT0000A2NA48
|
Beginn of tranche:
01.03.2021
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
4.28 %
|
Value:
109.98
|
Date:
07.06.2023
|
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Show details
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SpänglerPrivat: Top Aktien (RT) |
ISIN:
AT0000A2NA55
|
Beginn of tranche:
01.03.2021
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
3.13 %
|
Value:
107.25
|
Date:
07.06.2023
|
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Show details
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SpänglerPrivat: Top Dividende (IA) |
ISIN:
AT0000A2VQ73
|
Beginn of tranche:
16.03.2022
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
-2.67 %
|
Value:
92.92
|
Date:
07.06.2023
|
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Show details
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|
SpänglerPrivat: Top Dividende (IT) |
ISIN:
AT0000A2YCV8
|
Beginn of tranche:
08.07.2022
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
-
|
Value:
96.46
|
Date:
07.06.2023
|
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Show details
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SpänglerPrivat: Top Dividende (RA) |
ISIN:
AT0000A2E0A8
|
Beginn of tranche:
23.04.2020
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
6.07 %
|
Value:
110.87
|
Date:
07.06.2023
|
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Show details
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SpänglerPrivat: Top Dividende (RT) |
ISIN:
AT0000A2YCW6
|
Beginn of tranche:
08.07.2022
|
5 years p.a.:
-
|
10 years p.a.:
-
|
Since beginning:
-
|
Value:
95.70
|
Date:
07.06.2023
|
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Show details
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SparTrust Variabel (AA) |
ISIN:
AT0000A07HH0
|
Beginn of tranche:
05.11.2007
|
5 years p.a.:
1.49 %
|
10 years p.a.:
2.99 %
|
Since beginning:
2.36 %
|
Value:
139.67
|
Date:
07.06.2023
|
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Show details
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SparTrust XVII (T) |
ISIN:
AT0000685615
|
Beginn of tranche:
17.07.2002
|
5 years p.a.:
2.49 %
|
10 years p.a.:
3.32 %
|
Since beginning:
3.43 %
|
Value:
1,787.13
|
Date:
07.06.2023
|
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Show details
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