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Model portfolios

 
 
Allocation Portfolio Fees
in % p.a.
No. of Funds Volatility 1Y Return
1Y
 
Pantoffel-Portfolio
Experten Portfolios
0,11% 2 6.49% 13.51%
Nachhaltigkeit SRI Global BIP
Nachhaltige Portfolios
0,22% 2 9.60% 15.29%
Aktien Welt + EM einfach ausschüttend
Aktien Portfolios
0,12% 2 9.76% 22.45%
Aktien Welt + EM einfach BIP
Aktien Portfolios
0,20% 2 8.63% 20.46%
Nachhaltigkeit ESG Screened Global BIP
Nachhaltige Portfolios
0,19% 2 9.32% 21.32%
Vanguard Global BIP
Aktien Portfolios
0,16% 2 8.99% 20.54%
Aktien Welt + EM einfach BIP ausschüttend
Aktien Portfolios
0,13% 2 9.24% 20.10%
Aktien Welt + EM einfach
Aktien Portfolios
0,20% 2 9.44% 22.72%
Kommer Strategie 2018 | integrierte Multi-Factor-Strategie
Faktoren Portfolios
0.34% 3 6.57% 14.03%
Weltportfolio 50 | Aktien global | Renten konservativ
Retirement, Medium risk
0.15% 3 4.87% 11.41%
 
— All quotes are 15 minutes delayed stock exchange quotes or NAVs (=daily published by fund provider). Quotes and reference data provided by Xignite, Inc., etfinfo and justETF GmbH. Returns include dividend payments. Historic returns and risk are neither an indication nor a guarantee for future returns. All provided information is solely to help you make a better financial decision. By no means, justETF GmbH is providing financial advice.
Source:ETFinfo