|
Ø Performance |
Ø Volatilität |
Ø Sharpe Ratio |
Ø Verlust - Monate |
| WKN | Fondsname | 1 Jahr | 3 Jahre | 1 Jahr | 3 Jahre | 3 Jahre | Periode | Max. Verlust |
| 975411 |
MEAG ProInvest |
10,06% |
71,34% |
16,81% |
16,05% |
-- |
3 M. |
-13,44% |
| A2PPJZ |
MEAG GlobalAktien |
27,09% |
83,20% |
16,12% |
16,37% |
-- |
3 M. |
-9,59% |
| A1W18W |
MEAG Dividende A |
24,85% |
60,10% |
11,91% |
12,33% |
-- |
3 M. |
-9,67% |
| 161999 |
MEAG AktienSelect A |
26,58% |
55,28% |
10,92% |
12,93% |
-- |
3 M. |
-7,55% |
| 975433 |
MEAG EuroInvest A |
30,92% |
85,83% |
10,85% |
11,91% |
-- |
2 M. |
-7,44% |
| 978278 |
MEAG GlobalChance DF |
21,67% |
51,96% |
9,63% |
11,41% |
-- |
3 M. |
-8,69% |
| 975746 |
MEAG EuroKapital |
15,01% |
48,53% |
9,15% |
8,88% |
-- |
3 M. |
-6,72% |
| A1JJJR |
MEAG VermögensAnlage Return A |
12,39% |
34,60% |
8,86% |
8,32% |
-- |
3 M. |
-6,84% |
| 975745 |
MEAG EuroBalance A |
13,18% |
43,21% |
8,57% |
8,07% |
-- |
3 M. |
-6,50% |
| A2ARYP |
ERGO Vermögensmanagement Flexibel |
16,91% |
38,42% |
6,66% |
6,74% |
-- |
3 M. |
-5,24% |
| A1JJJP |
MEAG VermögensAnlage Komfort A |
9,74% |
26,50% |
6,40% |
6,13% |
-- |
3 M. |
-5,42% |
| A2ARYT |
ERGO Vermögensmanagement Ausgewogen |
13,95% |
34,05% |
5,64% |
5,78% |
-- |
3 M. |
-4,76% |
| 978276 |
MEAG GlobalBalance DF |
12,21% |
33,89% |
5,36% |
5,58% |
-- |
3 M. |
-6,34% |
| A2ARYR |
ERGO Vermögensmanagement Robust |
9,61% |
23,22% |
3,96% |
3,89% |
-- |
3 M. |
-3,67% |
| A0RFJ2 |
MEAG ReturnSelect A |
6,03% |
19,13% |
3,76% |
3,49% |
-- |
2 M. |
-3,88% |
| 978273 |
MEAG EuroErtrag |
4,99% |
18,86% |
3,46% |
3,37% |
-- |
2 M. |
-3,48% |
| 975744 |
MEAG EuroRent A |
1,01% |
11,97% |
2,47% |
2,48% |
-- |
2 M. |
-3,65% |
| 975748 |
MEAG EuroFlex |
1,60% |
11,57% |
1,10% |
0,99% |
-- |
1 M. |
-2,56% |