| Name | WKN | Rückn. (Datum) | Konserv. Signal | Datum | Spekul. Signal | Datum |
|
Allianz Global Investors Fund - Allianz Dynamic Commodities A |
A1C5F5 |
68,42 (21.05.) |
| 28.02.2024 | | |
|
Allianz Global Investors Fund - Allianz Convertible Bond A |
A1JPF1 |
130,33 (21.05.) |
| 14.05.2024 | | |
|
Allianz Global Investors Fund - Allianz Convertible Bond AT |
A1JPF2 |
138,16 (21.05.) |
| 14.05.2024 | | |
|
ALLIANZ MOBIL-FONDS A EUR |
847191 |
47,23 (21.05.) |
| 12.03.2024 | | |
|
Amundi S.F. - EUR Commodities A EUR ND |
A0MJ6G |
29,25 (21.05.) |
| 21.05.2024 | | |
|
Amundi Total Return A EUR DA |
534304 |
46,57 (21.05.) |
| 08.05.2024 | | |
|
Amundi Total Return A EUR ND |
A0DPHJ |
73,97 (21.05.) |
| 10.05.2024 | | |
|
Amundi Wandelanleihen |
848495 |
128,96 (17.05.) |
| 07.05.2024 | | |
|
DWS Covered Bond Fund L |
DWS1UL |
51,59 (21.05.) |
| 13.05.2024 | | |
|
DWS Covered Bond Fund LD |
847653 |
48,67 (21.05.) |
| 13.05.2024 | | |
| Name | WKN | Rückn. (Datum) | Konserv. Signal | Datum | Spekul. Signal | Datum |
|
DWS ESG Convertibles LD |
847426 |
135,97 (21.05.) |
| 10.05.2024 | | |
|
DWS Invest Convertibles L |
727463 |
160,29 (21.05.) |
| 10.05.2024 | | |
|
DWS Invest Convertibles LC |
727462 |
173,20 (21.05.) |
| 10.05.2024 | | |
|
DWS Invest Convertibles LC (CE) |
DWS1BS |
133,04 (21.05.) |
| 10.05.2024 | | |
|
DWS Invest Convertibles USD LCH |
DWS0CQ |
196,62 (21.05.) |
| 10.05.2024 | | |
|
DWS Qi Extra Bond Total Return SD |
978802 |
43,98 (21.05.) |
| 13.05.2024 | | |
|
Franklin Templeton Investment Funds Franklin K2 Alternative Strategies Fund A (acc) USD |
A119QP |
12,41 (21.05.) |
| 07.02.2024 | | |
|
Franklin Templeton Investment Funds Franklin K2 Alternative Strategies Fund A (acc) EUR-H1 |
A119QQ |
10,50 (21.05.) |
| 07.02.2024 | | |
|
Franklin Templeton Investment Funds Franklin K2 Alternative Strategies Fund A (Ydis) USD |
A119QS |
12,41 (21.05.) |
| 07.02.2024 | | |
|
Franklin Templeton Investment Funds Franklin K2 Alternative Strategies Fund A (Ydis) EUR |
A119QT |
14,79 (21.05.) |
| 12.04.2024 | | |