Unsere VL-Fondspalette im Überblick

Size: px
Start display at page:

Download "Unsere VL-Fondspalette im Überblick"

Transcription

1 Unsere VL-Fondspalette im Überblick ISIN WKN Fondsbezeichnung Währung RK AA VV Risiko-Indikator LU AB - Global Growth Trends Portfolio A USD USD 3 5,54 1,70 6 LU AB - International Health Care Portfolio A USD USD 3 5,54 1,80 5 LU A1CS30 Aberdeen Global - Chinese Equity S-2 Acc USD USD 3 4,25 1,92 5 LU A0HL3Q Aberdeen Global - Emerging Markets Equity Fund A- 1 USD 3 4,25 1,75 6 LU Aberdeen Global - Emerging Markets Equity Fund A2 USD 3 4,25 1,75 6 DE ACATIS Aktien Global UI 3 5,00 0,75 5 LU Acatis Champions Select - Acatis Aktien Deutschland ELM 3 5,50 1,55 6 DE AL Trust Aktien Deutschland 3 5,00 1,50 6 DE Allianz Adiverba A 3 5,00 1,50 6 DE Allianz Aktien Europa A 3 5,00 1,35 6 LU A0DLLG Allianz Asia Pacific Equity A 3 5,00 1,50 6 LU A0DLLJ Allianz Asia Pacific Equity A USD USD 3 5,00 1,50 6 LU Allianz Best Styles Euroland Equity A 3 5,00 1,00 6 LU Allianz Best Styles Euroland Equity AT 3 5,00 1,00 6 DE Allianz Biotechnologie A 3 5,00 1,75 6 LU A1C0Y9 Allianz Brazil Equity AT 3 5,00 1,75 6 LU A0ETQ9 Allianz BRIC Stars A 3 5,00 1,75 6 LU A0Q1P1 Allianz China Equity A 3 5,00 1,75 6 LU A0Q1QA Allianz China Equity AT USD USD 3 5,00 1,75 6 IE Allianz China Fund A 3 5,00 1,75 6 IE Allianz China Fund A USD USD 3 5,00 1,75 6 IE Allianz Eastern Europe Equity A 3 5,00 1,75 6 IE Allianz Eastern Europe Equity A USD USD 3 5,00 1,75 6 LU A0Q1H6 Allianz Emerging Asia Equity A USD USD 3 5,00 1,75 6 LU Allianz Emerging Europe A 3 5,00 1,75 6 DE Allianz Energy A 3 5,00 1,50 6 LU A1C5BQ Allianz Euroland Equity SRI A 3 5,00 1, * Mindestanlage je Fonds und Anlagetermin; wenn keine abweichende Mindestanlage vorgegeben: Einmalanlage 250,- ; Sparplan 25,- 1

2 DE Allianz EuropaVision A 3 5,00 1,35 6 LU A0M8SA Allianz Europe Conviction Equity A 3 5,00 1,50 6 LU A0KDMT Allianz Europe Equity Growth A 3 5,00 1,50 6 LU A0KDMU Allianz Europe Equity Growth AT 3 5,00 1,50 6 LU A0MPE7 Allianz Europe Small Cap Equity A 3 5,00 1,75 6 LU A0RF5F Allianz European Equity Dividend A 3 5,00 1,50 5 LU A0RF5H Allianz European Equity Dividend AT 3 5,00 1,50 5 DE Allianz Flexi Euro Dynamik A 3 5,00 1,20 5 DE Allianz Fonds Japan A 3 5,00 1,35 6 DE Allianz Fonds Schweiz A 3 5,00 1,50 5 LU A1J5TA Allianz German Equity AT 3 5,00 1,50 6 LU A0NCGS Allianz Global Agricultural Trends A 3 5,00 1,75 6 LU A0Q0XZ Allianz Global Agricultural Trends CT 3 3,00 1,75 6 LU A0JJ35 Allianz Global EcoTrends A 3 5,00 1,75 6 IE Allianz Global Emerging Markets Equity A 3 5,00 1,75 6 IE Allianz Global Emerging Markets Equity A USD USD 3 5,00 1,75 6 LU Allianz Global Equity AT 3 5,00 1,50 6 LU Allianz Global Equity AT USD USD 3 5,00 1,50 6 DE Allianz Global Equity Dividend A 3 5,00 1,50 5 LU A0Q0U0 Allianz Global Equity Unconstrained A 3 5,00 1,75 5 IE Allianz Global Intellectual Capital A 3 5,00 1,75 6 LU A1H67A Allianz Global Metals and Mining A 4 5,00 1,50 7 LU A1JFWE Allianz Global Metals and Mining AT 4 5,00 1,50 7 LU Allianz Global Sustainability A 3 5,00 1,50 6 LU Allianz Global Sustainability A USD USD 3 5,00 1,50 6 LU A0F6SA Allianz High Dividend Asia Pacific A 3 5,00 1,75 6 LU A0Q09X Allianz Indonesia Equity A 3 5,00 1,75 6 DE Allianz Informationstechnologie A 3 5,00 1,50 6 DE Allianz Interglobal A 3 5,00 1,35 6 IE Allianz Japan Smaller Companies A 3 5,00 1,75 6 IE Allianz Korea Fund A 3 5,00 1,75 6 IE Allianz Korea Fund A USD USD 3 5,00 1,75 6 LU A0RK27 Allianz Little Dragons A2 3 5,00 1,75 6 DE Allianz Nebenwerte Deutschland A 3 5,00 1,50 6 LU A0Q1G0 Allianz Oriental Income A USD USD 3 5,00 1,50 6 DE Allianz Rohstoffonds A 4 5,00 1,50 7 * Mindestanlage je Fonds und Anlagetermin; wenn keine abweichende Mindestanlage vorgegeben: Einmalanlage 250,- ; Sparplan 25,- 2

3 DE Allianz Strategiefonds Wachstum A 3 0,00 1,10 5 DE Allianz Strategiefonds Wachstum Plus A 3 0,00 1,20 5 DE Allianz Telemedia A 3 5,00 1,75 5 LU A0Q1LJ Allianz Thailand Equity A USD USD 3 5,00 1,75 6 DE Allianz Thesaurus AT 3 5,00 1,50 6 LU A0Q1MP Allianz Tiger A 3 5,00 1,75 6 IE00B0RZ0529 A0HMVT Allianz US Equity A (H-) 3 5,00 1,50 6 IE Allianz US Equity A 3 5,00 1,50 6 IE00B1CD3R11 A0LBUF Allianz US Equity AT 3 5,00 1,50 6 IE00B1CD5314 A0MMHH Allianz US Equity AT USD USD 3 5,00 1,50 6 LU A0KDQG Allianz US Equity Fund AT USD USD 3 5,00 1,50 6 DE Allianz US Large Cap Growth A 3 5,00 1,35 6 DE Allianz Vermögensbildung Deutschland A 3 5,00 1,50 6 DE Allianz Vermögensbildung Europa A 3 5,00 1,35 6 DE Allianz Wachstum Euroland A 3 5,00 1,50 6 DE Allianz Wachstum Europa A 3 5,00 1,50 6 IE00B0H4S111 A0F51A AMADEUS ASIAN REAL ESTATE SECURITIES FUND A 3 5,00 1,75 6 LU AMB Generali FondsStrategie Dynamik 3 5,00 1,20 5 DE Ampega Europa Methodik Aktienfonds P(t) 3 5,00 0,85 6 DE Ampega Global Aktienfonds 3 4,50 1,00 5 LU A1JTET ARBOR INVEST - SUBSTANZWERTE P 3 3,50 1, AT ARIQON Wachstum T 3 5,25 2,15 5 DE Astra-Fonds 3 5,00 1,60 5 DE AXA Deutschland 3 4,50 1,00 6 IE AXA Rosenberg Global Equity Alpha Fund B 3 4,50 1,35 5 IE AXA Rosenberg Global Small Cap Alpha B () 3 4,50 1,50 6 DE AXA Welt 3 5,00 1,35 5 LU A0B93W AXA World Funds - Framlington Talents Global A LU AXA World Funds II - Continental European Opportunities Equities A 3 5,50 1, ,50 1,50 6 LU Bankhaus Neelmeyer Aktienstrategie 3 3,00 0,57 5 GB Baring German Growth Trust () 3 5,00 1,50 6 DE Basler-Aktienfonds DWS 3 4,71 1,50 6 LU A0X8YU Bellevue Funds (Lux) - BB Adamant Biotech B 3 5,00 1,60 6 LU A0RPSP Bellevue Funds (Lux) - BB Adamant Biotech B USD USD 3 5,00 1,60 6 * Mindestanlage je Fonds und Anlagetermin; wenn keine abweichende Mindestanlage vorgegeben: Einmalanlage 250,- ; Sparplan 25,- 3

4 LU A0RP3E Bellevue Funds (Lux) - BB African Opportunities B CHF LU A1J2U9 Bellevue Funds (Lux) - BB Entrepreneur Europe AB LU A0RPSJ Bellevue Funds (Lux) - BB Entrepreneur Europe B CHF 3 5,00 1, ,00 1, ,00 1,60 6 LU A1CW3N Bellevue Funds (Lux) - BB Global Macro B 2 5,00 1,40 4 LU A0X9SW Bellevue Funds (Lux) BB African Opportunities B USD USD 3 5,00 1,60 5 LU A0RP23 Bellevue Funds (Lux)-BB Adamant Medtech B 3 5,00 1,60 5 LU A0RP3D Bellevue Funds (Lux)-BB African Opportunities B 3 5,00 1,60 5 LU A0MWCX BL - Emerging Markets A 3 5,00 1,00 6 LU A0MWCY BL - Emerging Markets B 3 5,00 1,00 6 LU A0MWCV BL - Equities Dividend A 2 5,00 1,00 4 LU A0MWCW BL - Equities Dividend B 2 5,00 1,00 4 LU A0X9BK BL - Equities Europe A 3 5,00 1,00 5 LU BL - Global Equities B 3 5,00 1,00 5 LU BL Equities Horizon B 2 5,00 1,00 4 LU A0F42G BlackRock Global Funds - Continental European Flexible Fund A2 LU BlackRock Global Funds - Emerging Europe Fund A2 LU BlackRock Global Funds - European Special Situations Fund A2 LU BlackRock Global Funds - European Value Fund A2 LU A0BMA1 BlackRock Global Funds - Global SmallCap Fund A2 LU BlackRock Global Funds - Global SmallCap Fund A2 USD LU BlackRock Global Funds - Latin American Fund A2 USD 3 5,00 1, ,00 1, ,00 1, ,00 1, ,00 1,50 6 USD 3 5,00 1,50 6 USD 3 5,00 1,75 6 LU A0BL87 BlackRock Global Funds - New Energy Fund A2 3 5,00 1,75 6 LU BlackRock Global Funds - New Energy Fund A2 USD USD 3 5,00 1,75 6 LU BlackRock Global Funds - US Flexible Equity Fund A2 USD LU A0BMA5 BlackRock Global Funds - World Energy Fund A2 USD 3 5,00 1, ,00 1,75 6 LU A0BMAL BlackRock Global Funds - World Gold Fund A2 4 5,00 1,75 7 LU BlackRock Global Funds - World Gold Fund A2 USD USD 4 5,00 1,75 7 * Mindestanlage je Fonds und Anlagetermin; wenn keine abweichende Mindestanlage vorgegeben: Einmalanlage 250,- ; Sparplan 25,- 4

5 LU A0RFC5 BlackRock Global Funds - World Gold Fund A4RF LU A0BMAR BlackRock Global Funds - World Mining Fund A2 LU BlackRock Global Funds - World Mining Fund A2 USD LU A0M9SC BlackRock Global Funds - World Mining Fund Hedged A2 4 5,00 1, ,00 1,75 7 USD 4 5,00 1, ,00 1,75 7 LU BNP Paribas L1 Equity Europe Classic Cap 3 3,00 1,50 6 LU A118UP BNP Paribas L1 Equity World Quality Focus Classic Cap. 3 3,00 1,50 6 FR A0DP5W Carmignac Investissement A acc 3 4,00 1,50 5 FR A1J0KF Carmignac Investissement A Ydis 3 4,00 1,50 5 DE000A1JSWM8 A1JSWM Castell VV Ausgewogen R 2 3,00 1,48 4 DE000A1JSWL0 A1JSWL Castell VV Defensiv 2 3,00 1,48 3 IE00B0XJXQ01 A0JC8V COMGEST GROWTH OPE Dis. 3 4,00 1,50 6 IE00B4ZJ4634 A1JJUY Comgest Growth Europe S A 3 4,00 2, IE00B3ZL9H82 A1JJUZ Comgest Growth Europe S B USD USD 3 4,00 2, IE00B4R6DW15 A0RPNF Comgest Growth Latin America () 4 4,00 1,75 7 DE Concentra A 3 5,00 1,50 6 DE CONVEST 21 VL A 3 5,00 1,50 5 LU CS Investment Funds 11 - Credit Suisse (Lux) Global Value Equity Fund B 3 5,00 1,92 5 DE000A0DNVT1 A0DNVT CT Welt Portfolio AMI CT (t) 3 5,00 1,15 6 LU Davis Global Fund A USD 3 6,10 1,50 6 LU Davis Value Fund A USD 3 6,10 1,50 6 LU DWS06P Deutsche Invest I Brazilian Equities LC 4 5,26 1,75 7 LU DWS0BJ Deutsche Invest I Chinese Equities () LC 3 5,26 1,50 6 LU DWS055 Deutsche Invest I Emerging Markets Satellites LD 3 5,26 1,50 6 LU A0HMB6 Deutsche Invest I European Small Cap LD 3 5,26 1,50 6 LU DWS1AA Deutsche Invest I German Equities LD 3 5,26 1,50 6 LU DWS0TM Deutsche Invest I Global Agribusiness LD () 3 5,26 1,50 6 LU A0DP7P Deutsche Invest I Global Emerging Markets Equities LC LU A0DP7Q Deutsche Invest I Global Emerging Markets Equities LD 3 5,26 1, ,26 1,50 6 LU DWS0Q2 Deutsche Invest I Global Infrastructure LC 3 5,26 1,50 5 LU DWS0VL Deutsche Invest I Latin American Equities LC 3 5,26 1,75 6 LU Deutsche Invest I Top Asia LC 3 5,26 1,50 6 * Mindestanlage je Fonds und Anlagetermin; wenn keine abweichende Mindestanlage vorgegeben: Einmalanlage 250,- ; Sparplan 25,- 5

6 LU Deutsche Invest I Top Asia LD 3 5,26 1,50 6 LU DWS0ZD Deutsche Invest I Top Dividend LC 3 5,26 1,50 5 LU DWS0ZE Deutsche Invest I Top Dividend LD 3 5,26 1,50 5 LU Deutsche Invest I Top Euroland LC 3 5,26 1,50 6 LU Deutsche Invest I Top Euroland LD 3 5,26 1,50 6 LU Deutsche Invest I Top Europe LC 3 5,26 1,50 6 LU Deutsche Invest I Top Europe LD 3 5,26 1,50 6 LU DWS1DH Deutsche Invest II Asian Top Dividend LC 3 5,26 1,50 5 LU DWS1D8 Deutsche Invest II European Top Dividend LC 3 5,26 1,50 5 LU DWS1D9 Deutsche Invest II European Top Dividend LD 3 5,26 1,50 5 LU DWS1S0 Deutsche Invest II Global Growth LC 3 5,26 1,50 5 LU DWS1S1 Deutsche Invest II Global Growth LD 3 5,00 1,50 5 DE Deutsche Nomura Japan Growth LC 3 4,00 1,60 6 DE Deutsche Quant Equity Low Volatility Europe NC 3 0,00 1,70 5 DE000A111ZF1 A111ZF Dirk Müller Premium Aktien 3 4,00 1,60 5 LU A1J4B6 DJE - Dividende & Substanz PA 3 5,00 1,32 5 DE DWS Akkumula 3 5,00 1,45 5 DE DWS Aktien Strategie Deutschland 3 5,00 1,45 6 LU DWS BestSelect Branchen 3 4,00 1,35 5 DE DWS Biotech 3 5,00 1,50 6 DE DWS Deutschland 3 5,00 1,40 6 DE DWS Emerging Markets Typ O 3 0,00 1,70 6 DE DWS Europe Dynamic 3 5,00 1,40 6 DE DWS European Opportunities 3 5,00 1,40 6 DE DWS Eurovesta 3 5,00 1,40 6 DE DWS Financials Typ O 3 0,00 1,70 6 DE DWS German Equities Typ O 3 0,00 1,45 6 DE DWS German Small/Mid Cap 3 5,00 1,40 6 DE DWS Global Growth 3 5,00 1,45 5 DE DWS Global Natural Resources Equity Typ O 3 0,00 1,70 6 DE DWS Global Small/Mid Cap 3 5,00 1,45 6 LU DWS Global Value LD 3 5,00 1,45 5 DE DWS Health Care Typ O 3 0,00 1,70 5 DE DWS Investa 3 5,00 1,40 6 LU DWS Osteuropa 3 5,00 1,70 6 LU DWS Russia 4 5,00 2,00 7 * Mindestanlage je Fonds und Anlagetermin; wenn keine abweichende Mindestanlage vorgegeben: Einmalanlage 250,- ; Sparplan 25,- 6

7 DE DWS Technology Typ O 3 0,00 1,70 6 DE DWS Telemedia Typ O 3 0,00 1,70 5 DE DWS Top Asien 3 4,00 1,45 6 DE DWS Top Dividende LD 3 5,00 1,45 5 DE DWS Top Europe 3 4,00 1,40 6 DE DWS Top Portfolio Offensiv 3 5,00 1,50 5 DE DWS Top World 3 4,00 1,45 5 LU A0DPW3 DWS Türkei 4 5,00 2,00 7 DE DWS US Equities Typ O 3 0,00 1,70 5 DE DWS US Growth 3 5,00 1,45 5 LU A0DNJE DWS Vermögensbildungsfonds I (Lux) 3 5,00 1,45 5 DE DWS Vermögensbildungsfonds I LD 3 5,00 1,45 5 DE DWS ZukunftsInvestitionen 3 5,00 1,45 6 DE DWS Zukunftsressourcen 3 5,00 1,45 6 DE DWS Zürich Invest Aktien Schweiz 3 5,00 1,30 5 DE000A0J3UF6 A0J3UF Earth Exploration Fund UI R 4 5,00 0,45 7 FR A0JLZE Echiquier Agenor 3 1,01 2,39 6 FR A0LCNP Echiquier Major 3 1,01 2,39 6 DE Europa-INVEST 3 5,00 1,20 6 LU A0M98B EuroSwitch World Profile StarLux OP E 3 5,25 1,85 5 LU A1JW9N FFPB Dividenden Select 3 5,00 1,25 5 LU A0PGWM Fidelidy Funds - European Value Fund A Acc 3 5,25 1,50 6 LU A0H0WD Fidelity - Global Property Fund A acc () 3 5,25 1,50 6 LU A0B8SP Fidelity - India Focus Fund USD USD 3 5,25 1,50 6 LU Fidelity America Fund USD 3 5,25 1,50 6 LU Fidelity Asean Fund USD 3 5,25 1,50 6 LU Fidelity Asian Special Situations Fund USD 3 5,25 1,50 6 LU Fidelity Australia Fund AUD 3 5,25 1,50 5 LU A0NFGN Fidelity Emerging Asia Fund A acc USD USD 3 5,25 1,50 6 LU Fidelity Emerging Markets Fund USD 3 5,25 1,50 6 LU Fidelity Euro Blue Chip Fund 3 5,25 1,50 6 LU Fidelity O STOXX 50 TM Fund 3 0,00 0,60 6 LU Fidelity European Larger Companies Fund A 3 5,25 1,50 6 LU Fidelity European Smaller Companies Fund 3 5,25 1,50 6 LU A0LF0Y Fidelity European Smaller Companies Fund A Acc 3 5,25 1,50 6 LU Fidelity France Fund 3 5,25 1,50 6 * Mindestanlage je Fonds und Anlagetermin; wenn keine abweichende Mindestanlage vorgegeben: Einmalanlage 250,- ; Sparplan 25,- 7

8 LU A0J22H Fidelity Fund - Euro Blue Chip Fund A acc () 3 5,25 1,50 6 LU A0H0WE Fidelity Fund - Global Property Fund A Acc USD USD 3 5,25 1,50 6 LU A0J22F Fidelity Funds - America Fund A Acc 3 5,25 1,50 6 LU Fidelity Funds - America Fund A 3 5,25 1,50 5 LU A0LF0C Fidelity Funds - O STOXX 50 TM Fund A acc 3 0,00 0,60 6 LU Fidelity Funds - American Growth Fund USD 3 5,25 1,50 6 LU A0LFZN Fidelity Funds - Asean Fund A acc USD USD 3 5,25 1,50 6 LU A0MJQ6 Fidelity Funds - Asia Pacific Property Fund A 3 5,25 1,50 6 LU A0RMUM Fidelity Funds - Asian Special Situation Fund A acc LU A0LFZ3 Fidelity Funds - Asian Special Situtations Fund Acc USD 3 5,25 1,50 6 USD 3 5,25 1,50 6 LU A0LFZ8 Fidelity Funds - Australia Fund Aacc AUD AUD 3 5,25 1,50 6 LU A1JH3G Fidelity Funds - China Consumer Fund A Acc 3 5,25 1,50 6 LU A1JH3J Fidelity Funds - China Consumer Fund A 3 5,25 1,50 6 LU A0M94A Fidelity Funds - China Focus Fund A acc 3 5,25 1,50 6 LU A0MWZJ Fidelity Funds - Emerging Europe, Middle East and Africa Fund A acc LU A0MWZM Fidelity Funds - Emerging Europe, Middle East and Africa Fund A (USD) LU A0MWZK Fidelity Funds - Emerging Europe, Middle East and Africa Fund A acc USD LU A0MWZL Fidelity Funds - Emerging Europe, Middle East and Africa Fund A 3 5,25 1,50 6 USD 3 5,25 1,50 6 USD 3 5,25 1, ,25 1,50 6 LU A0LFZ9 Fidelity Funds - Emerging Markets Fund A acc USD USD 3 5,25 1,50 6 LU Fidelity Funds - Emerging Markets Fund E-ACC-Euro 4 0,00 1,50 7 LU Fidelity Funds - European Dynamic Growth Fund 3 5,25 1,50 6 LU A0LF0X Fidelity Funds - European Dynamic Growth Fund A acc LU Fidelity Funds - European Dynamic Growth Fund E- -ACC 3 5,25 1, ,00 1,50 5 LU A0H0V4 Fidelity Funds - European Fund A acc 3 5,25 1,50 6 LU A0MU7V Fidelity Funds - European Growth Fund A acc 3 5,25 1,50 6 LU Fidelity Funds - European Growth Fund A 3 5,25 1,50 6 LU A0LF01 Fidelity Funds - Germany Fund A acc () 3 5,25 1,50 6 LU Fidelity Funds - Global Telecommunications Fund E Acc 3 0,00 1,50 5 LU Fidelity Funds - Global Consumer Industries Fund 3 5,25 1,50 5 * Mindestanlage je Fonds und Anlagetermin; wenn keine abweichende Mindestanlage vorgegeben: Einmalanlage 250,- ; Sparplan 25,- 8

9 LU A1JSY0 Fidelity Funds - Global Dividend Funds A- QINCOME(G)- 3 5,25 1,50 5 LU Fidelity Funds - Global Financial Services Fund 3 5,25 1,50 6 LU Fidelity Funds - Global Focus Fund A USD USD 3 5,25 1,50 6 LU Fidelity Funds - Global Health Care Fund 3 5,25 1,50 5 LU Fidelity Funds - Global Industrials Fund 3 5,25 1,50 6 LU Fidelity Funds - Global Technology Fund 3 5,25 1,50 6 LU Fidelity Funds - Global Telecommunications Fund 3 5,25 1,50 5 LU A0LGBA Fidelity Funds - Global Telecommunications Fund A (acc) 3 5,25 1,50 5 LU A0J21X Fidelity Funds - International Fund A Acc () 3 5,25 1,50 5 LU A1H8N8 Fidelity Funds - Japan Advantage A (hedged) 3 5,25 1,50 6 LU A0RMUC Fidelity Funds - Japan Advantage Fund A JPY (Acc) JPY 3 5,25 1,50 6 LU A0J210 Fidelity Funds - Japan Fund A (acc) JPY JPY 3 5,25 1,50 6 LU A0LF05 Fidelity Funds - Japan Smaller Companies Fund A Acc JPY JPY 3 5,25 1,50 6 LU Fidelity Funds - Latin America Fund E () Acc 3 0,00 1,50 6 LU A0LF06 Fidelity Funds - Nordic Fund A Acc SEK SEK 3 5,25 1,50 6 LU A0Q7NX Fidelity Funds - Pacific Fund A acc 3 5,25 1,50 6 LU A0LF07 Fidelity Funds - South East Asia Fund A acc () 3 5,25 1,50 6 LU A0LE0K Fidelity Funds Global Opportunities Fund A Acc () 3 5,25 1,50 5 LU A0NFGP Fidelity Funds-Emerging Asia Fund A Acc. 3 5,25 1,50 6 LU A0NFGL Fidelity Funds-Emerging Asia Fund A USD USD 3 5,25 1,50 6 LU A0MZL7 Fidelity Funds-Emerging Markets Fund A Dis. 3 5,25 1,50 6 LU A0RMUW Fidelity Funds-Global Real Assets Securities Fund A Acc Hedged 3 5,25 1,50 6 LU A0RMT9 Fidelity Funds-Japan Advantage A Acc. 3 5,25 1,50 6 LU A0LF08 Fidelity Funds-South East Asia Fund A Acc USD USD 3 5,25 1,50 6 LU Fidelity Germany Fund 3 5,25 1,50 6 LU Fidelity Global Focus Fund A 3 5,25 1,50 5 LU A0H0WB Fidelity Global Property Fund 3 5,25 1,50 6 LU Fidelity Greater China Fund USD 3 5,25 1,50 6 LU Fidelity Iberia Fund 3 5,25 1,50 6 LU Fidelity Indonesia Fund USD 4 5,25 1,50 7 LU Fidelity Intern.Fd. Shares 3 5,25 1,50 5 LU Fidelity International Fund USD 3 5,25 1,50 6 LU A0J21Y Fidelity International Fund A Acc USD USD 3 5,25 1,50 6 * Mindestanlage je Fonds und Anlagetermin; wenn keine abweichende Mindestanlage vorgegeben: Einmalanlage 250,- ; Sparplan 25,- 9

10 LU Fidelity Italy Fund 3 5,25 1,50 6 LU A0CA6W Fidelity Japan Advantage Fund A JPY 3 5,25 1,50 6 LU Fidelity Japan Fund 3 5,25 1,50 6 LU Fidelity Japan Fund JPY JPY 3 5,25 1,50 6 LU Fidelity Japan Smaller Companies Fund JPY 3 5,25 1,50 6 LU Fidelity Korea Fund USD 3 5,25 1,50 6 LU Fidelity Latin America Fund USD 3 5,25 1,50 6 LU Fidelity Malaysia Fund USD 3 5,25 1,50 6 LU Fidelity Nordic Fund SEK 3 5,25 1,50 6 LU Fidelity Pacific Fund USD 3 5,25 1,50 6 LU Fidelity Singapore Fund USD 3 5,25 1,50 6 LU Fidelity South East Asia Fund 3 5,25 1,50 6 LU Fidelity South East Asia Fund USD USD 3 5,25 1,50 6 LU Fidelity Switzerland Fund CHF 3 5,25 1,50 6 LU Fidelity Taiwan Fund USD 3 5,25 1,50 6 LU Fidelity Thailand Fund USD 3 5,25 1,50 6 LU Fidelity United Kingdom Fund GBP 3 5,25 1,50 6 LU Fidelity World Fund 3 5,25 1,50 6 LU A0CA6V Fidelity-China Focus Fund USD 3 5,25 1,50 6 LU A0B8SR Fidelity-India Focus Fund 3 5,25 1,50 6 DE First Private Europa Aktien ULM A 3 5,00 1,50 6 LU A1J4RH Flossbach von Storch - Dividend R 3 5,00 1,53 5 LI A0Q5SW FM Global Trend 3 5,00 0, DE Fondak A 3 5,00 1,40 6 LU A0MZK6 Franklin Global Fundamental Strategies Fund A (acc) LU A0MZK7 Franklin Global Fundamental Strategies Fund A (acc) -H1 LU A0NBQ1 Franklin Global Fundamental Strategies Fund A (Ydis) 3 5,54 1, ,54 1, ,54 1,00 5 DE FT Global HighDividend 3 5,00 1,25 5 DE FT InterSpezial 3 5,00 1,25 5 LU Goldman Sachs US CORE (SM) Equity Portfolio Class E 3 4,17 1,25 6 DE HANSAeuropa 3 5,00 1,50 6 DE HANSAsecur 3 5,00 1,50 6 LU A0DLKB Henderson Gartmore Continental European Fund R Acc 3 5,00 1,50 6 * Mindestanlage je Fonds und Anlagetermin; wenn keine abweichende Mindestanlage vorgegeben: Einmalanlage 250,- ; Sparplan 25,- 10

11 LU A0DM75 Henderson Gartmore Continental European Fund R USD Acc USD 4 5,00 1,50 7 LU Henderson Horizon Fund - Euroland Fund A2 (Acc) 3 5,26 1,20 6 LU Henderson Horizon Fund Pan European Property Equities Fund A2 LU A0DPM2 Henderson Horizon Global Property Equities Fund A1 3 5,26 1,20 6 USD 3 5,26 1,20 6 LU Henderson Pan European Equity Fund 3 5,26 1,20 6 LU Henderson Pan European Smaller Companies Fund A2 Acc. 4 5,26 1,20 7 LU A0J3PA HSBC GIF - BRIC Markets Equity AD USD 3 5,54 1,50 6 LU HSBC GIF - Indian Equity Fund AD USD 4 5,54 1,50 7 LU A0D84R IAM - Provita World Fund 2 5,26 1,20 4 DE Industria A 3 5,00 1,35 6 LU A1JDBL INVESCO Global Equity Income Fund A Acc USD USD 3 5,26 1,40 5 IE INVESCO PRC Equity Fund A USD 3 5,26 1,75 6 LU A1JJEX JPMorgan Funds - Asia Pacific Strategic Equity A (dist) USD USD 3 5,00 1,50 6 LU JPMorgan Funds - China A (dist) - USD USD 3 5,00 1,50 6 LU JPMorgan Funds - Emerging Europe Equity A (dist) - LU JPMorgan Funds - Emerging Markets Equity A (dist) - USD 3 5,00 1,50 6 USD 3 5,00 1,50 6 LU A0DQH2 JPMorgan Funds - Europe Equity A (acc) - 3 5,00 1,00 6 LU JPMorgan Funds - Europe Equity A (dist) - 3 5,00 1,00 6 LU A0DQH5 JPMorgan Funds - Europe Strategic Value A (acc) - LU JPMorgan Funds - Europe Strategic Value A (dist) - 3 5,00 1, ,00 1,50 6 LU JPMorgan Funds - Global Focus A (dist) - 3 5,00 1,50 6 LU A0DPLL JPMorgan Funds - Global Natural Resources A (acc) - 3 5,00 1,50 6 LU JPMorgan Funds - Japan Equity A (dist) - USD USD 3 5,00 1,50 6 LU JPMorgan Funds - Latin America Equity A (dist) - USD USD 3 5,00 1,50 6 LU JPMorgan Funds - Pacific Equity A (dist) - USD USD 3 5,00 1,50 6 LU A0RPE0 JPMorgan Funds-Global Healthcare Fund A (acc) - USD USD 3 5,00 1,50 6 LU JSS EmergingSar - Global P USD dist USD 3 5,00 1,75 6 LU JSS EmergingSar - New Frontiers P USD dist USD 3 5,00 1,75 6 * Mindestanlage je Fonds und Anlagetermin; wenn keine abweichende Mindestanlage vorgegeben: Einmalanlage 250,- ; Sparplan 25,- 11

12 LU JSS EquiSar - Global P dist 3 5,00 1,50 5 LU A0D9BW JSS EquiSar - IIID () P acc 2 5,00 1,50 4 LU JSS Multi Label SICAV - New Energy Fund () B 3 5,00 1,75 6 LU A0F6ES JSS OekoSar Equity - Global P dist 3 5,00 1,75 5 LU A0DLCW JSS Real Estate Equity - Global P acc 3 5,00 1,50 5 LU A0DLCV JSS Real Estate Equity - Global P dist 3 5,00 1,50 6 LU JSS Sustainable Equity - Europe P dist 3 5,00 1,75 6 LU A1CTTV JSS Sustainable Equity - Global Emerging Markets P USD acc USD 4 5,00 1,75 7 LU JSS Sustainable Equity - Global P dist 3 5,00 1,75 5 LU A0MM6Z JSS Sustainable Equity - New Power P acc 3 5,00 1,75 6 LU A0QX89 JSS Sustainable Equity - New Power P dist 3 5,00 1,75 6 LU A0MM6T JSS Sustainable Equity - Real Estate Global P acc 3 5,00 1,50 6 LU A1C7P1 JSS Sustainable Equity - USA P USD acc USD 3 5,00 1,25 6 LU A0M90M JSS Sustainable Equity - Water Fund P dist 3 5,00 2,00 5 DE000A0JDCH4 A0JDCH Keppler Lingohr Global Equity MC 3 5,00 1,50 6 DE LBBW Dividenden Strategie Euroland R 3 5,00 1,50 6 DE LINGOHR-SYSTEMATIC-LBB-INVEST 3 5,00 1,65 6 DE Löwen-Aktienfonds 3 4,00 1,05 5 LU A0M5SE Loys Sicav - Loys Global N 3 5,00 0,12 5 LU Loys Sicav - Loys Global P 3 5,00 0,80 5 LU A1J9LN Loys Sicav - Loys Global System P 3 5,00 0,80 5 GB M&G Asian Fund A thes. 3 5,54 1,50 6 GB M&G European Smaller Companies Fund A thes. 3 5,54 1,50 6 GB M&G Global Basics Fund A Thes. 3 5,54 1,75 6 GB00B94CTF25 A1WZWT M&G Global Dividend Fund A Auss. 3 4,17 1,75 5 GB00B39R2S49 A0Q349 M&G Global Dividend Fund A thes. 3 4,17 1,75 5 GB M&G Global Growth Fund A thes. 3 5,54 1,75 5 GB M&G Global Leaders Fund A thes. 3 5,54 1,75 6 GB M&G Pan European Fund A Thes. 3 5,54 1,50 6 GB M&G Recovery Fund A Thes. 3 5,54 1,50 6 FR Magellan C 3 3,25 1,75 6 DE MEAG EuroInvest 4 5,00 1,25 6 DE MEAG EuroKapital 3 5,00 1,25 5 DE MEAG Nachhaltigkeit A 3 5,00 1,50 5 * Mindestanlage je Fonds und Anlagetermin; wenn keine abweichende Mindestanlage vorgegeben: Einmalanlage 250,- ; Sparplan 25,- 12

13 DE000A0JDAY3 A0JDAY MEAG Osteuropa A 3 5,00 1,50 6 DE MEAG ProInvest 3 5,00 1,25 6 IE Metzler European Growth A 3 5,00 1,50 6 IE Metzler European Smaller Companies A 3 5,00 1,50 6 DE Metzler Wachstum International 3 5,00 1,25 5 LU MFS Meridian Funds - Global Equity Fund A1 3 6,00 1,05 5 DE000A0MUW08 A0MUW0 MULTI-LEADERS-FUND NEXT GENERATION 3 5,00 1,74 5 LU Nestor Australien Fonds 3 3,00 1,40 6 DE Nomura Asia Pacific Fonds 3 5,00 1,50 6 LU A0J3WH Nordea 1 - European Value Fund AP- 3 5,00 1, LU A0RASQ Nordea 1 - Emerging Consumer Fund BP- 3 5,00 1, LU A1J2H1 Nordea 1 - Emerging Markets Focus Equity Fund BP- LU A1J2H0 Nordea 1 - Emerging Markets Focus Equity Fund BP- USD 3 5,00 1, USD 3 5,00 1, LU A0M5MD Nordea 1 - European Opportunity Fund AP- 3 5,00 1, LU A0M5ME Nordea 1 - European Opportunity Fund BP- 3 5,00 1, LU A0RGH4 Nordea 1 - European Small and Mid Cap Equity Fund BP- LU A0MU2V Nordea 1 - Global Stable Equity Fund- Hedged AP- LU Nordea 1 - Global Stable Equity Fund- Unhedged BP- LU A0LGS7 Nordea 1 - Global Stable Equity Fund-Euro Hedged BP- 3 5,00 1, ,00 1, ,00 1, ,00 1, LU A0J3W4 Nordea 1 - Global Value Fund AP- 3 5,00 1, LU Nordea 1 - Global Value Fund BP- 3 5,00 1, LU A0MWQF Nordea 1 - Latin American Equity Fund BP 3 5,00 1, LU A0J3W5 Nordea 1 - Nordic Equity Fund AP- 3 5,00 1, LU Nordea 1 - Nordic Equity Fund BP- 3 5,00 1, LU A1J7UW Nordea 1 - North American All Cap Fund AP 3 5,00 1, LU A1J7X3 Nordea 1 - North American All Cap Fund AP USD USD 3 5,00 1, LU A1J0G2 Nordea 1 - North American All Cap Fund BP Acc. LU A1J0G1 Nordea 1 - North American All Cap Fund BP USD Acc. 3 5,00 1, USD 3 5,00 1, LU A1J7UV Nordea 1 - North American All Cap Fund HA 3 5,00 1, LU A0J3WX Nordea 1 - North American Value Fund AP- 3 5,00 1, LU Nordea 1 - North American Value Fund BP-USD USD 3 5,00 1, * Mindestanlage je Fonds und Anlagetermin; wenn keine abweichende Mindestanlage vorgegeben: Einmalanlage 250,- ; Sparplan 25,- 13

14 LU A0J3W3 Nordea 1 - North American Value Fund HA- 3 5,00 1, LU Nordea 1 - Norwegian Equity Fund BP- 3 5,00 1, LU Nordea 1 - Norwegian Equity Fund BP-NOK NOK 3 5,00 1, LU Nordea 1 - Senior Generations Equity Fund BP- 3 5,00 1, LU Nordea 1 - Senior Generations Equity Fund BP-USD USD 3 5,00 1, LU A0J3X3 Nordea 1 - Senior Generations Equity Fund HA- 3 5,00 1, LU A0J3WS Nordea 1- Asian Focus Equity Fund AP- 3 5,00 1, LU Nordea 1- Asian Focus Equity Fund BP- 3 5,00 1, LU Nordea 1- Asian Focus Equity Fund BP-USD USD 3 5,00 1, LU Nordea 1- European Value Fund BP- 3 5,00 1, LU A0RASM Nordea 1-African Equity Fund BP- 3 5,00 1, LU Nordea Fund of Funds - Value Masters Fund BP- LU A0NEG2 Nordea1 - Climate and Environment Equity Fund BP- 3 5,00 1, ,00 1, LU A1JHTL Nordea1 - Emerging Stars Equity Fund BP USD USD 3 5,00 1, LU Nordea-1 North American Value Fund BP- 3 5,00 1, LU A1JHTM Nordea1-Emerging Stars Equity Fund BP 3 5,00 1, LU Öko-Aktienfonds 3 5,00 1, LU ÖkoWorld ÖkoVision Classic C 3 5,00 1,76 5 IE00B54YL325 A1H9B6 Old Mutual Asian Equity Income Fund A (USD) USD 3 6,25 1,50 6 DE OP Food 3 5,00 1,62 5 LU OYSTER European Opportunities 3 5,00 1,75 6 LU PARVEST EQUITY AUSTRALIA CAP CLASSIC AUD 3 3,00 1,50 6 LU PARVEST EQUITY OPE MID CAP CAP CLASSIC LU PARVEST EQUITY HIGH DIVIDEND OPE CAP CLASSIC 3 3,00 1, ,00 1,50 6 LU A0B5UY PARVEST EQUITY JAPAN CAP CLASSIC H 3 3,00 1,50 6 LU PARVEST EQUITY JAPAN CLASSIC CAP JPY 3 3,00 1,50 6 LU PARVEST EQUITY JAPAN SMALL CAP CLASSIC CAP JPY 3 3,00 1,75 6 LU PARVEST EQUITY LATIN AMERICA CAP CLASSIC USD 4 3,00 1,75 7 LU PARVEST EQUITY USA CAP CLASSIC USD 3 3,00 1,50 6 LU A1T8WH Parvest Equity World Consumer Durables Classic Cap 3 3,00 1,50 6 LU A1T8XH Parvest Equity World Health Care Classic Cap 3 3,00 1,50 6 LU A0MRNU Pictet - Clean Energy P dy USD USD 3 5,00 1,60 6 * Mindestanlage je Fonds und Anlagetermin; wenn keine abweichende Mindestanlage vorgegeben: Einmalanlage 250,- ; Sparplan 25,- 14

15 LU A0X8JW Pictet - Global Megatrend Selection P dy USD USD 3 5,00 1,60 6 LU A1WY6L Pictet - Japanese Equity Opportunities HP 3 5,00 1,20 6 LU A0QZ7V Pictet - Timber P dy GBP GBP 4 5,00 1,60 7 LU Pictet- Biotech P USD 3 5,00 1,60 6 LU Pictet-Water P 3 5,00 1,60 5 LU A0Q9X2 Pioneer Funds - Absolute Return Multi-Strategy Growth A ND 3 5,00 1,15 5 LU Pioneer Funds - Asia (ex Japan) Equity 3 5,00 1,50 6 LU Pioneer Funds - Emerging Europe and Mediterranean Equity A LU A1JPBJ Pioneer Funds - European Equity Target Income A Dis. 3 5,00 1, ,00 1,50 5 LU A0MJ5A Pioneer Funds - European Potential A 3 5,00 1,50 6 LU A0MJ48 Pioneer Funds - Global Ecology A 3 5,00 1,50 6 LU A0MWHJ Pioneer Funds - Global Ecology A 3 5,00 1,50 6 LU A0NB54 Pioneer Funds - Global Equity Target Income A cap 3 5,00 1,50 5 LU A0MJ4R Pioneer Funds - Global Select A 3 5,00 1,50 5 LU Pioneer Funds - Italian Equity A 3 5,00 1,25 6 LU A0KEEZ Pioneer Funds - North American Basic Value A Cap 3 5,00 1,50 5 LU A0Q61P Pioneer Funds - U.S. Mid Cap Value A 3 5,00 1,50 6 LU Pioneer Funds - U.S. Pioneer Fund A 3 5,00 1,25 5 LU Pioneer Funds- China Equity A 3 5,00 1,50 6 LU Pioneer Funds-Core European Equity A 3 5,00 1,25 6 LU Pioneer Funds-Emerging Markets Equity A (2) 3 5,00 1,50 6 LU A0Q60E Pioneer Funds-European Equity Value A 3 5,00 1,50 6 LU Pioneer Funds-European Research A 3 5,00 1,50 6 LU A0MWHH Pioneer Funds-Global Select A DA 3 5,00 1,50 5 LU Pioneer Funds-Japanese Equity A 3 5,00 1,50 6 LU Pioneer Funds-Top European Players A 3 5,00 1,50 6 LU A0Q602 Pioneer Funds-U.S. Fundamental Growth A 3 5,00 1,50 5 LU Pioneer Funds-U.S. Mid Cap Value A 3 5,00 1,50 6 LU Pioneer Funds-U.S. Research A 3 5,00 1,25 5 LU A0Q61C Pioneer Funds-U.S.Research Value A 3 5,00 1,50 6 DE Pioneer Investments Aktien Rohstoffe A 3 4,00 0,50 6 LU Pioneer Investments Chance 3 5,00 1,90 6 LU A0LCEC Pioneer Investments Chance B 3 0,00 1,90 6 * Mindestanlage je Fonds und Anlagetermin; wenn keine abweichende Mindestanlage vorgegeben: Einmalanlage 250,- ; Sparplan 25,- 15

16 DE Pioneer Investments Euro Geldmarkt 1 0,00 0,15 1 DE Pioneer Investments German Equity A 3 5,00 1,50 6 DE Pioneer Investments Top World 3 5,00 1,00 6 LU A0RCF8 Pioneer S.F. - U.S. Equity Market Plus A ND 3 5,00 0,50 5 DE000A0MURC1 A0MURC R1 Value Portfolio 3 5,00 1,35 5 LU A0RMVA RAM SYSTEMATIC Emerging Markets Equities F Acc USD LU A1JPKT RAM SYSTEMATIC Emerging Markets Equities O USD 4 0,00 2, ,00 2,00 7 LU Robeco Asia Pacific Equities D 3 5,00 1,50 6 LU A0CA01 Robeco Chinese Equities D 4 5,00 1,50 7 LU A0CATR Robeco Emerging Markets Equities D 3 5,00 1,50 6 LU A0LE9R Robeco Emerging Stars D 4 5,00 1,50 7 LU A0CA0W Robeco Global Consumer Trends Equities D 3 5,00 1,50 6 LU A0YFGU Robeco Global Stars Equities D 3 5,00 1,25 6 LU A0CA0S Robeco New World Financials D 4 5,00 1,50 7 LU A0CA0U Robeco Property Equities D 3 5,00 1,50 6 LU A0F61P Robeco US Premium Equities D USD USD 3 6,00 1,50 6 LU A0M1D1 Robeco US Premium Equities DH 3 6,00 1,50 6 LU A0M2X3 RobecoSAM Global Small Cap Equities Fund B 3 5,00 1,40 6 LU RobecoSAM Smart Energy Fund B 3 5,00 1,50 6 LU A0LB5F RobecoSAM Smart Energy Fund B CHF CHF 3 5,00 1,50 6 LU A0BL6T RobecoSAM Smart Materials Fund B 3 5,00 1,50 6 LU A0RB5R RobecoSAM Sustainable Agribusiness Equities D 3 5,00 1,50 6 LU A0CATQ RobecoSAM Sustainable European Equities D 3 5,00 1,25 6 LU A0CA6D RobecoSAM Sustainable Global Equities Fund B 3 5,00 1,40 5 LU RobecoSAM Sustainable Water Fund B 3 5,00 1,50 5 DE RWS Aktienfonds 3 5,00 1,60 6 DE RWS-DYNAMIK 3 5,00 1,80 5 LU Sauren Global Growth Plus 3 5,00 0,09 5 LU Schroder ISF - O Equity A Acc 3 5,26 1,50 6 LU Schroder ISF - O Equity A Dis 3 5,26 1,50 6 LU Schroder ISF - European Equity Alpha A Acc 3 5,26 1,50 6 DE SEB Aktienfonds 3 4,00 0,90 6 DE SEB EuroCompanies 3 5,00 1,30 6 DE SEB Europafonds 3 4,00 0,90 6 * Mindestanlage je Fonds und Anlagetermin; wenn keine abweichende Mindestanlage vorgegeben: Einmalanlage 250,- ; Sparplan 25,- 16

17 LU A1T721 SEB fund 1 - Global Chance/Risk Fund D () 3 1,00 1,50 6 LU SEB ÖkoLux 3 4,50 1,50 6 LU A1C26V Share Gold Cap. 4 3,00 0,50 7 LU Share Gold USD Cap. USD 4 3,00 0,50 7 LU A0DQN4 Sparinvest SICAV Global Value 3 3,00 1,50 6 LU A0M97M Swiss Rock (Lux) SICAV - Global Equity / Aktien Welt A DK A14XYC Sydinvest Global Emering Market Equities B Acc 3 5,00 1, ,00 1,33 6 LU A1JTVD Templeton Africa Fund A (Ydis) -H1 3 5,54 1,60 5 LU A0F6WM Templeton Asian Growth Fund A (acc) 3 5,54 1,35 6 LU Templeton Asian Growth Fund A (Ydis) USD USD 3 5,54 1,35 6 LU Templeton Eastern Europe Fund A (acc) 3 5,54 1,60 6 LU Templeton Euroland Fund A (acc) 3 5,54 1,00 6 LU Templeton Growth (Euro) Fund A (acc) 3 5,54 1,00 5 LU A0B9KE Templeton Growth (Euro) Fund A (Ydis) 3 5,54 1,00 5 LU A0LBWC Templeton Growth (Euro) Fund A (Ydis) USD USD 3 5,54 1,00 6 LU Templeton Latin America Fund A (Ydis) USD USD 3 5,54 1,40 6 DE terrassisi Aktien I AMI 3 4,50 1,35 6 GB Threadneedle American Select Fund Kl. 1 USD 3 5,26 1,50 6 GB Threadneedle European Fund 3 5,26 1,50 6 GB Threadneedle European Select Fund Cl ,26 1,50 5 GB Threadneedle European Smaller Companies Fund 3 5,26 1,50 5 GB00B0H6D894 A0F670 Threadneedle European Smaller Companies Fund Cl. 1 GB00BWCH5186 A14QLP Threadneedle Investment Funds - European Select Fund RNI GB00B0PHJS66 A0HMGB Threadneedle Pan European Smaller Companies Fund 1 3 5,26 1, ,26 1, ,26 1,50 6 FR A1C4YR Tocqueville Gold P 4 3,50 2,00 7 LU A0RJ28 Triodos SICAV I - Triodos Sustainable Equity Fund R dis LU A0RJ3B Triodos SICAV I - Triodos Sustainable Pioneer Fund R Cap 3 5,00 1, ,00 1,70 6 LU UBAM - Swiss Equity A CHF 3 3,00 1,00 5 DE UBS (D) Equity Fund - Mid Caps Germany 3 4,00 1,80 6 DE UBS (D) Equity Fund - Small Caps Germany 3 4,00 1,80 6 DE UBS (D) Konzeptfonds I 3 4,00 1,50 5 DE UBS (D) Konzeptfonds V 3 4,00 1,50 5 * Mindestanlage je Fonds und Anlagetermin; wenn keine abweichende Mindestanlage vorgegeben: Einmalanlage 250,- ; Sparplan 25,- 17

18 LU UBS (Lux) Equity Fund - Global Sustainable Innovators () B 3 5,00 1,63 6 DE UBS(D) Equity Fund - Global Opportunity 3 4,00 2,04 5 LU A0BLT7 ValueInvest LUX Global A C1 3 5,00 0,75 5 LU A0D838 ValueInvest LUX Global A D1 3 5,00 0,75 5 DE Ve-RI Equities Europe R 3 5,00 1,50 6 DE Veri ETF-Allocation Dynamic R 3 5,00 1,20 5 DE Ve-RI Listed Infrastructure R 3 5,00 1,50 5 DE Ve-RI Listed Real Estate R 3 5,00 1,50 5 DE000A12BKJ8 A12BKJ Vermögensmandat Select 2 5,00 1, DE WM Aktien Global UI-Fonds B 3 5,00 1,10 6 Angaben ohne Gewähr Stand: * Mindestanlage je Fonds und Anlagetermin; wenn keine abweichende Mindestanlage vorgegeben: Einmalanlage 250,- ; Sparplan 25,- 18

Unsere VL-Fondspalette im Überblick

Unsere VL-Fondspalette im Überblick Unsere VL-Fondspalette im Überblick ISIN WKN Fondsbezeichnung Währung RK AA VV Risiko-Indikator LU0057025933 974264 AB - Global Growth Trends Portfolio A USD USD 3 5,54 1,70 6 LU0058720904 974522 AB -

More information

Unsere VL-Fondspalette im Überblick

Unsere VL-Fondspalette im Überblick Unsere VL-Fondspalette im Überblick ISIN WKN Fondsbezeichnung Währung RK AA VV Risiko-Indikator LU0476876163 A1CS30 Aberdeen Global - Chinese Equity S-2 Acc USD USD 4 4,25 1,92 LU0231479394 A0HL3Q Aberdeen

More information

VL-Fondsliste ebase Jan. 2014 Fondsname ISIN Anlageschwerpunkt Region WähruAA Risikokl. VL-Zulage ACATIS Aktien Global Fonds UI A DE0009781740

VL-Fondsliste ebase Jan. 2014 Fondsname ISIN Anlageschwerpunkt Region WähruAA Risikokl. VL-Zulage ACATIS Aktien Global Fonds UI A DE0009781740 ACATIS Aktien Global Fonds UI A DE0009781740 Aktienfonds All Cap Welt EUR 5,00% 6 Ja ACATIS Champions Select - Acatis Aktien DeutschLU0158903558 Aktienfonds All Cap Deutschland EUR 5,50% 6 Ja AGIF - Allianz

More information

direktfonds24 Fonds für Vermögenswirksame Leistungen bei der FFB (FIL Fondsbank), Stand 2013

direktfonds24 Fonds für Vermögenswirksame Leistungen bei der FFB (FIL Fondsbank), Stand 2013 DE0005561658 556165 A2A OFFENSIV EUR Dachfonds überwiegend Aktienfonds 3 LU0476876080 A1CS3Z Aberdeen Global European Equity Fund S2 EUR Aktienfonds Europa ex UK 3 LU0124675678 659142 ACMBernstein - European

More information

Fondsauswahl. zu folgenden Suchkriterien: Stand: 23.06.2014. VL-fähig: ETF-Transaktionsentgeld. Fondsname ISIN Fondsgesellschaft Fondstyp ETF- Fonds

Fondsauswahl. zu folgenden Suchkriterien: Stand: 23.06.2014. VL-fähig: ETF-Transaktionsentgeld. Fondsname ISIN Fondsgesellschaft Fondstyp ETF- Fonds Fondsauswahl Stand: 23.06.2014 zu folgenden Suchkriterien: VL-fähig: ja Fondsname ISIN Fondsgesellschaft Fondstyp ETF- Fonds ETF-Transaktionsentgeld (Kauf) ETF-Transaktionsentgeld (Verkauf) ACATIS Aktien

More information

Introducing Fund Manager Rebates

Introducing Fund Manager Rebates www.davyselect.ie Introducing Fund Manager s (Excluding Exchange Traded Funds) 1ST JULY 2015 In the case of all pension and certain trading accounts, Davy will refund to you 100 of any rebates we receive

More information

UNIT TRUST Risk Rating

UNIT TRUST Risk Rating 1 * LYXOR ASSET MANAGEMENT ADEQUITY TRUST- LYXOR CHINA A FUND Medium-to-high 2 * LYXOR ASSET MANAGEMENT ADEQUITY TRUST- LYXOR DYNAMIC WATER FUND Medium-to-high 3 * LYXOR ASSET MANAGEMENT ADEQUITY TRUST-

More information

How To Find Out What Is Going On In Europe

How To Find Out What Is Going On In Europe FERI EuroRating Awards 2016 Deutschland Fonds Gesellschaft Fonds Gesellschaft Kategorie 1: Aktien Asien Pazifik ex Japan Kategorie 8: Aktien Welt Comgest Growth Asia Pac ex Japan Comgest Goldman Sachs

More information

Fund name. Share Onshore fund

Fund name. Share Onshore fund Fund Code Summary Noted:Below information is prepared for your reference only and is subject to on-going update/review. Version:20110608 Fund Fund Offshore/ Fund Risk Fund Asset Fund House Fund name Share

More information

List of Funds not for Subscription via Hang Seng e-banking (as of 23 Dec 2015)

List of Funds not for Subscription via Hang Seng e-banking (as of 23 Dec 2015) IMPORTANT RISK WARNINGS / NOTES Investors should note that investment involves risks (including the possibility of loss of the capital invested), prices of fund units may go up as well as down and past

More information

Elenco dei Fondi esterni

Elenco dei Fondi esterni CREDIT SUISSE LIFE & PENSIONS AG (ITALIAN BRANCH) Via Santa Margherita, 3 Telefono +39 02 88 55 01 20121-Milano Fax +39 02 88 550 450 REA Registro Imprese di Milano n. 1753146 C.F. Part. IVA 04502630967

More information

LU0119176310 LU0119176310 Aberdeen Sel.Euro High Yield Bond LU0837982460 Aberdeen Global - Select Euro High Yield Bond Fund Class X-2

LU0119176310 LU0119176310 Aberdeen Sel.Euro High Yield Bond LU0837982460 Aberdeen Global - Select Euro High Yield Bond Fund Class X-2 Geen handel mogelijk van maandag 15 december 09:30 's ochtends tot dinsdag 23 december 23:00 's avonds. Voor vragen kunt u contact opnemen met ons Service Team. LU0011963831 LU0011963831 Aberdeen American

More information

FUND HOUSES List of Funds. Aberdeen International Fund Managers Limited

FUND HOUSES List of Funds. Aberdeen International Fund Managers Limited FUND HOUSES List of Funds Aberdeen International Fund Managers Limited Aberdeen Global - Asia Pacific Equity Fund (USD) A2 Aberdeen Global - Asian Smaller Companies Fund (USD) A2 Aberdeen Global - Chinese

More information

DEGIRO BELEGGINGSFONDSEN KERNSELECTIE

DEGIRO BELEGGINGSFONDSEN KERNSELECTIE DEGIRO BELEGGINGSFONDSEN KERNSELECTIE ISIN Uitgevende instelling Product Valuta LU0837965291 Aberdeen Global Aberdeen Global - Asia Pacific Equity Fund LU0837965457 Aberdeen Global Aberdeen Global - Asia

More information

TABELLA DELLE VARIAZIONI DI PORTAFOGLIO I 20 MAGGIORI ACQUISTI E VENDITE PER COMPARTO (NON SOTTOPOSTI A REVISIONE CONTABILE) (valori espressi in EUR)

TABELLA DELLE VARIAZIONI DI PORTAFOGLIO I 20 MAGGIORI ACQUISTI E VENDITE PER COMPARTO (NON SOTTOPOSTI A REVISIONE CONTABILE) (valori espressi in EUR) US COLLECTION 03-ott-14 Health Care Select Sector SPDR Fund 4.986.027 27-mar-14 Legg Mason Global Funds PLC - ClearBridge U.S. Aggressive Growth Fund 4.831.202 27-mar-14 Legg Mason Global Funds PLC - Royce

More information

Quantum. Investment Guide. October 2015

Quantum. Investment Guide. October 2015 Quantum Investment Guide October 2015 Contents 2 Investment choice for your Quantum 2 and return 3 Fund risk s 4 Managed funds 4 A world of investment choice 5 Fund range overview 14 Fund objectives 24

More information

WKN ISIN NAME GESELLSCHAFT 973684 LU0050697852 ABN AMRO Germany Equity Fund ABN AMRO Investment Management SA 973925 LU0053334230 ABN AMRO Europe

WKN ISIN NAME GESELLSCHAFT 973684 LU0050697852 ABN AMRO Germany Equity Fund ABN AMRO Investment Management SA 973925 LU0053334230 ABN AMRO Europe 973684 LU0050697852 ABN AMRO Germany Equity Fund ABN AMRO Investment Management SA 973925 LU0053334230 ABN AMRO Europe Equity Fund ABN AMRO Investment Management SA 659142 LU0124675678 ACM Bernstein Value

More information

Quantum. Investment Guide. November 2011

Quantum. Investment Guide. November 2011 Quantum Investment Guide November 2011 Contents 02 Investment choice for your Quantum 02 Risk and return 03 Managed funds 03 A world of investment choice 04 Fund range overview 12 Fund objectives 20 Important

More information

Foreign collective investment schemes Changes - February, 2008

Foreign collective investment schemes Changes - February, 2008 Foreign collective investment schemes Changes - February, 2008 Approved for distribution in or from Switzerland: Cazenove International Fund Plc - The Cazenove Strategic Debt Fund FIRST INDEPENDENT FUND

More information

TABELLA DELLE VARIAZIONI DI PORTAFOGLIO I 20 MAGGIORI ACQUISTI E VENDITE PER COMPARTO (valori espressi in EUR)

TABELLA DELLE VARIAZIONI DI PORTAFOGLIO I 20 MAGGIORI ACQUISTI E VENDITE PER COMPARTO (valori espressi in EUR) US COLLECTION 15-giu-15 Vulcan Value Equity Fund 19.852.107 16-giu-15 Conventum - Lyrical Fund 19.400.664 15-mag-15 Davis Funds SICAV - Davis Value Fund 13.292.807 18-mag-15 Davis Funds SICAV - Davis Value

More information

Product Risk Level 產 品 風 險 評 級. Code 基 金 編 號. Fund Name 基 金 名 稱. Fund House 基 金 公 司

Product Risk Level 產 品 風 險 評 級. Code 基 金 編 號. Fund Name 基 金 名 稱. Fund House 基 金 公 司 Mutual Funds 互 惠 基 金 Please refer below list of Mutual Funds with product risk rating (as at 03 May 2013): 請 參 考 以 下 互 惠 基 金 之 列 表 (2013 年 05 月 03 日 更 新 ): Fund House 基 金 公 司 NA45 AB AMERICAN GROWTH PORTFOLIO

More information

Verzeichnis der von der Kursliste der eidg. Steuerverwaltung per 31.12.2013 abweichenden Steuerwerte für die Staatssteuerveranlagung 2013

Verzeichnis der von der Kursliste der eidg. Steuerverwaltung per 31.12.2013 abweichenden Steuerwerte für die Staatssteuerveranlagung 2013 Verzeichnis der von der Kursliste der eidg. Steuerverwaltung per 31.12.2013 abweichenden Steuerwerte für die Staatssteuerveranlagung 2013 gilt nur für natürliche Personen mit Domizil im Kanton Basel-Landschaft

More information

distributie ISIN No. Provider Fundnaam in basispunten in basispunten

distributie ISIN No. Provider Fundnaam in basispunten in basispunten ISIN No. Provider Fundnaam distributie basispunten Managementfee vergoeding in basispunten in LU0119174026 ABERDEEN Aberdeen European High Yield Bond Fund A Inc 125,000 62,500 LU0094547139 ABERDEEN Aberdeen

More information

Mutual Funds 互 惠 基 金. Product Risk Level 產 品 風 險 評 級. Code 基 金 編 號. Fund House 基 金 公 司. Fund Name 基 金 名 稱

Mutual Funds 互 惠 基 金. Product Risk Level 產 品 風 險 評 級. Code 基 金 編 號. Fund House 基 金 公 司. Fund Name 基 金 名 稱 Mutual Funds 互 惠 基 金 Please refer below list of Mutual Funds with product risk rating (as at 01 Jun 2015): 請 參 考 以 下 互 惠 基 金 之 列 表 (2015 年 06 月 01 日 更 新 ): Fund House NA01 AB AMERICAN GROWTH PORTFOLIO

More information

Verzeichnis der von der Kursliste der eidg. Steuerverwaltung per 31.12.2012 abweichenden Steuerwerte für die Staatssteuerveranlagung 2012

Verzeichnis der von der Kursliste der eidg. Steuerverwaltung per 31.12.2012 abweichenden Steuerwerte für die Staatssteuerveranlagung 2012 Verzeichnis der von der Kursliste der eidg. Steuerverwaltung per 31.12.2012 abweichenden Steuerwerte für die Staatssteuerveranlagung 2012 gilt nur für natürliche Personen mit Domizil im Kanton Basel-Landschaft

More information

LIPPER FUND AWARDS 2012

LIPPER FUND AWARDS 2012 LIPPER FUND AWARDS 2012 GERMANY WINNERS LIST 01 March 2012 Group Award Best Group Company Bond Large 3 Years AllianceBernstein Bond Small 3 Years T Rowe Price Equity Large 3 Years Aberdeen Asset Management

More information

Switzerland Award Categories About Feri EuroRating Awards About Feri EuroRating Services AG Press contact:

Switzerland Award Categories About Feri EuroRating Awards About Feri EuroRating Services AG Press contact: P R E S S R E L E A S E Shortlist of Funds just Nominated for Feri EuroRating Awards 2013 Germany: Aberdeen and BlackRock share highest number of nominations, while is looking at five award chances Austria:

More information

IS Název fondu (DON) ISIN Měna

IS Název fondu (DON) ISIN Měna IS Název fondu (DON) ISIN Měna NN NN (L) Asia ex Japan LU0051129079 USD NN NN (L) Latin America Equity LU0051128774 USD NN NN (L) International Czech Equity LU0082087353 CZK NN NN (L) European Equity LU0082087510

More information

Die erfolgreichsten Fonds

Die erfolgreichsten Fonds Die erfolgreichsten Fonds ETF Aktien Lyxor UCITS ETF World Water Lyxor UCITS ETF MSCI W.Utilities TR ishares TecDAX(DE)UCITS ETF Lyxor UCITS ETF STOXX Eur.600 Fin.Serv. ishares STOXX Eu.600 Fin.Serv.U.E.(DE)

More information

Changes to the Operating & Administration Expenses in JPMorgan Funds & JPMorgan Investment Funds

Changes to the Operating & Administration Expenses in JPMorgan Funds & JPMorgan Investment Funds Changes to the Operating & Administration Expenses in JPMorgan s & JPMorgan Investment s June 2015 The Management Company wishes to inform shareholders of changes that have been made to the Operating &

More information

Global Investment Centre Fund List

Global Investment Centre Fund List Global Investment Centre Fund List The share classes available on Global Investment Centre are either legacy or clean share classes. Clean share classes will replace legacy share classes on the Global

More information

Legal & General Portfolio Bond Funds available through Cofunds

Legal & General Portfolio Bond Funds available through Cofunds L&G Life Aberdeen Asia Pacific & Japan Fund L&G Life Aberdeen Asia Pacific Fund L&G Life Aberdeen Emerging Markets Fund L&G Life Aberdeen Multi-Manager Balanced Managed Fund L&G Life Aberdeen Multi-Manager

More information

Die erfolgreichsten Fonds

Die erfolgreichsten Fonds Die erfolgreichsten Fonds Aktienfonds Global Threadneedle (Lux) Global Sm.Companies KEPLER Small Cap Aktienfonds DekaGlobale Aktien LowRisk Jyske Invest Favourite Equities Robeco Global Stars Equities

More information

Foreign collective investment schemes Changes - October 2015

Foreign collective investment schemes Changes - October 2015 Foreign collective investment schemes Changes - October 2015 Approved for distribution in or from Switzerland: AB SICAV II Diversified Equity Alpha Portfolio (F01079575) Multi-Strategy Alpha Portfolio

More information

Ausländische kollektive Kapitalanlagen Mutationen - Oktober 2008

Ausländische kollektive Kapitalanlagen Mutationen - Oktober 2008 Ausländische kollektive Kapitalanlagen Mutationen - Oktober 2008 Zum Vertrieb in oder von der Schweiz aus genehmigt: APUS - AC Statistical Value Market Neutral 12 Vol Fund Union Investment (Schweiz) AG,

More information

22316670 CH0223166700 BALOISE FUND INVEST (CH) - IF OBLIGATIONEN EUR ANTEILE KLASSE -IM- 0.00

22316670 CH0223166700 BALOISE FUND INVEST (CH) - IF OBLIGATIONEN EUR ANTEILE KLASSE -IM- 0.00 Valorenliste 1644653 LU0173104455 3A ALTERNATIVE FUNDS SICAV - OYSTER MULTI STRATEGY ALTERNATIVE (CHF) SHS -A- 0.67 11455758 LU0513828979 ABERDEEN GLOBAL II SICAV, LUX SHS -A-2- / EMERGING EUROPE BOND

More information

CUOTAS DE FONDOS MUTUOS EXTRANJEROS APROBADOS

CUOTAS DE FONDOS MUTUOS EXTRANJEROS APROBADOS Al 1º de agosto de 2015 - As of August 1st, 2015-1 CUOTAS DE FONDOS MUTUOS EXTRANJEROS APROBADOS (SHARES OF FOREIGN MUTUAL FUNDS APPROVED) Número de Fondos cuyas cuotas se encuentran aprobadas (Number

More information

Die erfolgreichsten Fonds

Die erfolgreichsten Fonds Die erfolgreichsten Fonds Nachhaltige Aktienfonds BNY Mellon Sustainability Fund LGT Sustainable Equity Fund Global(EUR) Vontobel Clean Technology LO Funds Generation Global ÖkoWorld ÖkoVision Classic

More information

Swiss collective investment schemes Changes - June 2014

Swiss collective investment schemes Changes - June 2014 Swiss collective investment schemes Changes - June 2014 Approved for distribution in or from Switzerland: ACMBernstein SICAV Global Core Equity Portfolio (F01034927) AMUNDI TRESO 6 MOIS (F01034872) Representative:

More information

Die erfolgreichsten Fonds

Die erfolgreichsten Fonds Die erfolgreichsten Fonds ImmobilienAktienfonds Petercam Securities Real Estate Europe AXA WF Framlington Europe Real Estate Sec. KBC Select Immo Europe Plus ESPA Stock EuropeProperty Credit Suisse (Lux)

More information

Single-Funds which are licensed for distribution in the Principality of Liechtenstein

Single-Funds which are licensed for distribution in the Principality of Liechtenstein Single-s which are licensed for distribution in the Principality of Liechtenstein Last update: 20.11.2015 Investment Management Company Credit Suisse Real Estate Interswiss Credit Suisse s AG Schweiz Credit

More information

FodB Fondsliste 05.05.06

FodB Fondsliste 05.05.06 KAG Fondsname ISIN WKN WG RK AA VV min, EA handelbar SP min, SP AZP min. AZP VL 3 Banken-Generali Investment-Gesellschaft mbh 3 Banken sterreich-fonds AT0000662275 255243 EUR 3 3,50 1,00 nein nein nein

More information

Die erfolgreichsten Fonds

Die erfolgreichsten Fonds Die erfolgreichsten Fonds Anleihenfonds internationaler KAGs KBC Renta NZD Renta KBC Renta Medium Aviva InvestorsLong Term European Bond Fund KBC Institiutional Euro Bond Long Fund Performance KBC Renta

More information

Foreign collective investment schemes Changes - April 2007

Foreign collective investment schemes Changes - April 2007 Foreign collective investment schemes Changes - April 2007 Authorized for the distribution in Switzerland: Alternative Capital Enhancement - Ace Natural Resources Fund (CHF), fonds luxembourgeois à risque

More information

8. desember 2015. Sjóður / Fund Sjóðsdeildir / Subfunds Heimaríki / Home State 1741 Asset Managment Funds SICAV

8. desember 2015. Sjóður / Fund Sjóðsdeildir / Subfunds Heimaríki / Home State 1741 Asset Managment Funds SICAV 8. desember 2015 Erlendir verðbréfasjóðir sem hafa tilkynnt markaðssetningu á Íslandi í samræmi við 43. gr. laga nr. 30/2003 og 14. og 16. gr. reglugerðar nr. 792/2003 Foreign UCITS which have notified

More information

Liste Fonds Externes Annexe Conditions Spécifiques. Edition B F 2014 05

Liste Fonds Externes Annexe Conditions Spécifiques. Edition B F 2014 05 Liste Fonds Externes Annexe Conditions Spécifiques Edition B F 2014 05 2 16 Edition B F 2014 05 3 16 Edition B F 2014 05 Liste des fonds proposés dans le cadre du contrat ProFolio Dernière mise à jour

More information

OFFSHORE MUTUAL FUNDS ELIGIBLE FOR TRADING THROUGH PERSHING

OFFSHORE MUTUAL FUNDS ELIGIBLE FOR TRADING THROUGH PERSHING AB AMERICAN GROWTH FUND CLASS N (USD)(OFFSHORE) AB DEVELOPED MARKETS MULTI-ASSET INCOME PORT FD CL B (USD)(OFFSHORE) AB EUROPEAN VALUE FUND CLASS C (USD)(H)(OFFSHORE) AB EUROPEAN VALUE FUND CLASS I (USD)(H)(OFFSHORE)

More information

Liste des produits européens autorisés en France au 05 février 2013 1

Liste des produits européens autorisés en France au 05 février 2013 1 Liste des produits européens autorisés en France au 05 février 2013 1 589 1618 INVESTMENT FUNDS 22/05/2012 SELF-MANAGED INVESTMENT COMPAGNY LUXEMBOURG 1618 INVESTMENT FUNDS - WORLD EQUITY 255 1618 INVESTMENT

More information

Die erfolgreichsten Fonds

Die erfolgreichsten Fonds Die erfolgreichsten Fonds Aktienfonds Schwellenländer First State Asia Pacific Sustainability First State Asia Pacific Leaders DNB Fund Asian Small Cap Invesco Korean Equity Fidelity Funds Asian Smaller

More information

Funds & Shares Service legacy funds list Funds where no annual custody charge will apply

Funds & Shares Service legacy funds list Funds where no annual custody charge will apply SIPP ISA GIA Funds & Shares Service legacy funds list Funds where no annual custody charge will apply 30 September 2015 SIPP ISA GIA Using the legacy funds list The legacy funds list is a single reference

More information

Fondsmarkt. www.bankhaus-jungholz.com. Stand: 01.10.2014

Fondsmarkt. www.bankhaus-jungholz.com. Stand: 01.10.2014 www.bankhaus-jungholz.com Fondsmarkt Stand: 01.10.2014 Rechtlich einzig verbindliche Grundlage beim Erwerb von Investmentfonds ist der jeweilige Verkaufsprospekt in Verbindung mit den aktuellsten Jahres-

More information

Deze lijst is samengesteld op 8 december 2014

Deze lijst is samengesteld op 8 december 2014 aanbieder Vergoeding Categorie Naam provisievrij Aberdeen Aberdeen Global - Fund Asia Pacific Equity A2 LU0011963245 1,75% 1,96% 0,88% I Aberdeen Global Asia Pacific Equity Fund X2 USD Cap LU0837965291

More information

Top 10 Mutual Fund Rankings. March 2014

Top 10 Mutual Fund Rankings. March 2014 Top 10 Mutual Fund Rankings March 2014 AF Advisors is part of the A Fortiori Group Content Introducing AF Advisors AF Advisors Top 10 rankings Process Asset classes Global Large Cap Equity Global Emerging

More information

RUNDSCHREIBEN WECHSEL XETRA - HANDELSVERFAHREN: 02.06.2008 CHANGE OF XETRA - TRADING MODEL: 02.06.2008

RUNDSCHREIBEN WECHSEL XETRA - HANDELSVERFAHREN: 02.06.2008 CHANGE OF XETRA - TRADING MODEL: 02.06.2008 RUNDSCHREIBEN Sehr geehrte Damen und Herren, wir bitten Sie, folgende Maßnahmen der Wiener Börse AG unter zu berücksichtigen und die Information an die entsprechenden Personen weiterzuleiten! Dear Madam

More information

Ausländische kollektive Kapitalanlagen Mutationen - September 2008

Ausländische kollektive Kapitalanlagen Mutationen - September 2008 Ausländische kollektive Kapitalanlagen Mutationen - September 2008 Zum Vertrieb in oder von der Schweiz aus genehmigt: CapitalATWork Umbrella Fund - Fundamental Eurostocks RBC Dexia Investor Services Bank

More information

Sterling Investment Bond Fund specific projection rates

Sterling Investment Bond Fund specific projection rates Sterling Investment Bond Fund specific projection rates This document lists the funds available through the Sterling Investment Bond and the fund specific projection rates used in our illustrations. Examples

More information

FörstFinanz. Emittentenliste Stand 22.04.2015

FörstFinanz. Emittentenliste Stand 22.04.2015 FörstFinanz. Dienstleistungsgesellschaft mbh Emittentenliste Stand 22.04.2015 3 Banken Generali Investment G.m.b.H. Aberdeen Investment Services S.A. ACM Global Investments Alceda Fund Management S.A.

More information

Verzeichnis der von der Kursliste der eidg. Steuerverwaltung per 31.12.2014 abweichenden Steuerwerte für die Staatssteuerveranlagung 2014

Verzeichnis der von der Kursliste der eidg. Steuerverwaltung per 31.12.2014 abweichenden Steuerwerte für die Staatssteuerveranlagung 2014 Verzeichnis der von der Kursliste der eidg. Steuerverwaltung per 31.12.2014 abweichenden Steuerwerte für die Staatssteuerveranlagung 2014 gilt nur für natürliche Personen mit Domizil im Kanton Basel-Landschaft

More information

Investimenti collettivi di capitale esteri Mutazioni - Gennaio 2015

Investimenti collettivi di capitale esteri Mutazioni - Gennaio 2015 Investimenti collettivi di capitale esteri Mutazioni - Gennaio 2015 Approvato alla distribuzione in o partire della Svizzera: 20UGS (UCITS) FUNDS EQUITY OPPORTUNITY (F01053198) Rappresentanti: Société

More information

LU0333227808 MLIS Marshall Wace TOPS UCITS Mkt Neutral C Dis /g MERRILL LYNCH INVESTMENT SOLUTIONS Absolute Return - Azioni aprile-15

LU0333227808 MLIS Marshall Wace TOPS UCITS Mkt Neutral C Dis /g MERRILL LYNCH INVESTMENT SOLUTIONS Absolute Return - Azioni aprile-15 Ultime analisi : Luglio 2015 ISIN NOME FONDO SOCIETA' CATEGORIA MESE ANALISI LU0507281961 Finlabo Dynamic Emerging Markets R /eur FINLABO INVESTMENTS SICAV Absolute Return - Azioni febbraio-15 LU0553727487

More information

Ausländische kollektive Kapitalanlagen Mutationen - Dezember 2007

Ausländische kollektive Kapitalanlagen Mutationen - Dezember 2007 Ausländische kollektive Kapitalanlagen Mutationen - Dezember 2007 Zum Vertrieb in oder von der Schweiz aus genehmigt: ACMBernstein - US Strategic Value Portfolio BNP PARIBAS SECURITIES SERVICES S.A., Paris,

More information

Foreign collective investment schemes Changes - May 2015

Foreign collective investment schemes Changes - May 2015 Foreign collective investment schemes Changes - May 2015 Approved for distribution in or from Switzerland: AC Opp Aremus Fund (F01064773) ACPI Global UCITS Funds plc Q ACPI India Fixed Income UCITS Fund

More information

LU0400424155 A0RC32 AGIF Allianz RCM European Equity N EUR EUR Allianz Global Investors Luxembourg S.A. Aktien allgemein Europa ausschüttend Nein

LU0400424155 A0RC32 AGIF Allianz RCM European Equity N EUR EUR Allianz Global Investors Luxembourg S.A. Aktien allgemein Europa ausschüttend Nein ISIN WKN Fondsname Fondswährung Gesellschaft Assetschwerpunkt Regionenschwerpunkt Ertragsverwendung VL Fonds LU0186663919 A0B83H 1. SICAV GLOBAL ADVICE World Equities AP2 EUR 1. SICAV Aktien allgemein

More information

Namensänderungen Hinweise / Changements de nom Renvois Cambio dei nomi Indicazioni

Namensänderungen Hinweise / Changements de nom Renvois Cambio dei nomi Indicazioni ABN AMRO s Resources Activest Lux Dollar-Geldmarkt Activest Lux Europa Potential Activest Lux EuroProtect Activest Lux EuroRent Flex Activest Lux GlobalSelect Activest Lux GlobalStrategie Dynamik Activest

More information

Ausländische Anlagefonds Mutationen - Oktober 2006

Ausländische Anlagefonds Mutationen - Oktober 2006 Ausländische Anlagefonds Mutationen - Oktober 2006 Zum Vertrieb in der Schweiz zugelassen: Archimedes Invest Plus - CHF Archimedes Invest Plus - EUR Archimedes Invest Plus - USD Aquila Investment AG, Zürich

More information

Investimenti collettivi di capitale esteri Mutazioni - Novembre 2014

Investimenti collettivi di capitale esteri Mutazioni - Novembre 2014 Investimenti collettivi di capitale esteri Mutazioni - Novembre 2014 Approvato alla distribuzione in o partire della Svizzera: Alger SICAV Alger Dynamic Opportunities Fund (F01044335) ASTELLON UCITS FUND

More information

Investimenti collettivi di capitale esteri autorizzati alla distribuzione in Svizzera

Investimenti collettivi di capitale esteri autorizzati alla distribuzione in Svizzera 1618 Investment Funds - Bond Dollar Luxemburg Carnegie Fund Services SA 1618 Investment Funds - Bond Euro Luxemburg Carnegie Fund Services SA 1618 Investment Funds - Short Term Dollar Luxemburg Carnegie

More information

DWS Invest Semiannual Report 2014

DWS Invest Semiannual Report 2014 Deutsche Asset & Wealth Management DWS Invest Semiannual Report 2014 Investment Company with Variable Capital Incorporated under Luxembourg Law Contents Semiannual report 2014 for the period from January

More information

Liste des produits européens autorisés en France au 20 janvier 2014 1

Liste des produits européens autorisés en France au 20 janvier 2014 1 Liste des produits européens autorisés en France au 20 janvier 2014 1 572 1618 INVESTMENT FUNDS 21/07/1995 SELF-MANAGED INVESTMENT COMPAGNY LUXEMBOURG LU0041782110-1618 INVESTMENT FUNDS - SHORT TERM DOLLAR

More information

Die erfolgreichsten Fonds

Die erfolgreichsten Fonds Die erfolgreichsten Fonds Aktienfonds Schwellenländer Stewart Inv.Asia Pacific Sustainab. Stewart Inv.Asia Pacific Leaders Stewart Inv.Asia Pacific Stewart Inv.Glob.Emerging Markets KBC Equity Fund Turkey

More information

Investimenti collettivi di capitale esteri autorizzati alla distribuzione in Svizzera

Investimenti collettivi di capitale esteri autorizzati alla distribuzione in Svizzera 1618 Investment Funds - Bond Dollar Luxemburg Carnegie Fund Services SA 1618 Investment Funds - Bond Euro Luxemburg Carnegie Fund Services SA 1618 Investment Funds - Short Term Dollar Luxemburg Carnegie

More information

Fee overzicht. LU0228161443 Amundi Dynarbitrage Volatility Ins 0.50% 0.00%

Fee overzicht. LU0228161443 Amundi Dynarbitrage Volatility Ins 0.50% 0.00% LU0321539685 AAF M-M Mandates European Eq. C 1.75% 0.00% LU0513448471 Aberdeen Asia Fixed Income Fund A2 Acc 1.20% 0.60% LU0011963245 Aberdeen Asia Pacific Equity A2 (USD) 1.75% 0.88% LU0094548533 Aberdeen

More information

Het oude beleggingsfonds met distributievergoeding Het nieuwe beleggingsfonds zonder distributievergoeding

Het oude beleggingsfonds met distributievergoeding Het nieuwe beleggingsfonds zonder distributievergoeding 54150 BARCL ROLL YLD COMMO BARCLAYS ROLL YIELD COMMODITIES ACC 54808 BARCL ROLL YLD COM V BARCLAYS ROLL YIELD COMMODITIES ACC V 54736 BNP BD CONVERT WORLD BNP BOND CONVERTIBLE WORLD DIS 54555 BNP BOND

More information

Placements collectifs étrangers Mutations - Septembre 2007

Placements collectifs étrangers Mutations - Septembre 2007 Placements collectifs étrangers Mutations - Septembre 2007 Distribution en ou à partir de la Suisse approuvée: ABN AMRO Alternative Investments ABN AMRO Absolute Return Advantage Fund (ausl. Dachfonds

More information

Investimenti collettivi di capitale esteri Mutazioni - Settembre 2015

Investimenti collettivi di capitale esteri Mutazioni - Settembre 2015 Investimenti collettivi di capitale esteri Mutazioni - Settembre 2015 Approvato alla distribuzione in o partire della Svizzera: Abaris Conservative Equity Global Strategy (F01075900) PMG Fonds Management

More information

Axa Wf Framlington Europe Opportunities Axa LU 20,30 ***** Jpm Global Healthcare A Acc Usd Jpmorgan Am LU 20,25 ***** Ff - Asian Aggressive Fidelity

Axa Wf Framlington Europe Opportunities Axa LU 20,30 ***** Jpm Global Healthcare A Acc Usd Jpmorgan Am LU 20,25 ***** Ff - Asian Aggressive Fidelity feb-13 CINQUE STELLE COMMERCIALIZZATI IN ITALIA 84 fondi Fondo Gestore Paese Performance Schroder Isf Asia Pacific Property Secs Schroder LU 43,33 ***** Gam Star European Equity Gam IE 33,91 ***** Threadneedle

More information

Ausländische Anlagefonds Mutationen - März 2007

Ausländische Anlagefonds Mutationen - März 2007 Ausländische Anlagefonds Mutationen - März 2007 Zum Vertrieb in der Schweiz zugelassen: AVIVA MORLEY - ABSOLUTE BOND FUND [13045] AVIVA MORLEY - ABSOLUTE EMERGING MARKETS OPPORTUNITIES FUND [13323] AVIVA

More information

Clasificación Periodo Nombre Gestora Mixto EUR Agresivo Europa 3 Dexia Sustainable European Balanced High C Cap Dexia Asset Management Belgium SA

Clasificación Periodo Nombre Gestora Mixto EUR Agresivo Europa 3 Dexia Sustainable European Balanced High C Cap Dexia Asset Management Belgium SA Clasificación Periodo Nombre Gestora Mixto EUR Agresivo Europa 3 Dexia Sustainable European Balanced High C Cap Dexia Asset Management Belgium SA Mixto EUR Agresivo Eurozona 3 Espirito Santo European Responsible

More information

Die KümpersFinanz AG vermittelt Anlagen in Investmentfonds der nachstehend genannten Fondsgesellschaften:

Die KümpersFinanz AG vermittelt Anlagen in Investmentfonds der nachstehend genannten Fondsgesellschaften: Die KümpersFinanz AG vermittelt Anlagen in Investmentfonds der nachstehend genannten Fondsgesellschaften: Fondsgesellschaft 1. Sicav Aberdeen Asset Managers Limited Absolute Plus AG ACMBERNSTEIN (Deutschland)

More information

Annual financial statements, distributions & tax issues

Annual financial statements, distributions & tax issues Portfolio Funds 2087605 CH0020876055 Credit Suisse (CH) Interest & Dividend Focus Balanced CHF A CHF CH 31.12. Distributing 19955038 CH0199550382 Credit Suisse (CH) Interest & Dividend Focus Balanced CHF

More information

SWITZERLAND WINNER LIST

SWITZERLAND WINNER LIST SWITZERLAND WINNER LIST GROUP AWARD SIZE COMPANY Bond Large BlackRock Bond Small T Rowe Price Equity Large Comgest Equity Small Seilern Mixed Assets Large Fidelity Mixed Assets Small Flossbach von Storch

More information

Sterling Investment Bond. Investment funds guide

Sterling Investment Bond. Investment funds guide Sterling Investment Bond Investment funds guide Contents Introduction 3 List of current investment funds by sector 4 Investment choice and flexibility 10 Fund risks 11 Managed funds 12 Multi-Managed funds

More information

Investimenti collettivi di capitale esteri Mutazioni - Marzo 2015

Investimenti collettivi di capitale esteri Mutazioni - Marzo 2015 Investimenti collettivi di capitale esteri Mutazioni - Marzo 2015 Approvato alla distribuzione in o partire della Svizzera: Allianz Volatility Strategy (F01062281) Alma Capital Investment Funds Alma Eikoh

More information

Investimenti collettivi di capitale esteri Mutazioni - Maggio 2016

Investimenti collettivi di capitale esteri Mutazioni - Maggio 2016 Investimenti collettivi di capitale esteri Mutazioni - Maggio 2016 Approvato alla distribuzione in o partire della Svizzera: Allianz Global Investors Fund (F00156112) Allianz Advanced Fixed Income Global

More information

Investimenti collettivi di capitale esteri Mutazioni - Agosto 2015

Investimenti collettivi di capitale esteri Mutazioni - Agosto 2015 Investimenti collettivi di capitale esteri Mutazioni - Agosto 2015 Approvato alla distribuzione in o partire della Svizzera: Abaris Emerging Markets Equity (F01074496) Rappresentanti: 1741 Asset Management

More information

DIVIDEND DATES 2016 ROBECO FUNDS DOMICILED IN LUXEMBOURG

DIVIDEND DATES 2016 ROBECO FUNDS DOMICILED IN LUXEMBOURG DIVIDEND DATES 2016 ROBECO FUNDS DOMICILED IN LUXEMBOURG Annual dividend Robeco Capital Growth Funds - Share Classes ISIN Robeco BP Global Premium Equities E USD LU1058974137 Robeco Emerging Stars Equities

More information

Lipper Ranking ytd. Seite 1 von 6

Lipper Ranking ytd. Seite 1 von 6 Univ TR EUR To 29.07.2004 Rank by Table Performance 210D 01.01.2004 1 Zukunftsvorsorge Aktienfonds A 28,46 1 2 KST Vermoegensverwaltung Fonds 10,53 1 3 DWS Top Dividende 8,74 1 4 Activest Lux EcoTech C

More information

Clean Share Funds & Annual Management Charges (AMC)

Clean Share Funds & Annual Management Charges (AMC) Clean Share Funds & Annual Management Charges (AMC) Fund Manager Name Fund Name AMC Aberdeen International Fund Managers Limited * Aberdeen Gbl As Loc Cur Sht Dtn Bd R Fund GBP Acc 0.5 Aberdeen International

More information

Mirror funds your guide

Mirror funds your guide Mirror funds your guide 28 November 2014 Zurich International Life Contents Introduction... 3 what are the benefits?... 4 what are the risks?... 4 charges... 5 Leaving the decisions to the professionals...

More information

Sterling Investment Bond. Investment funds guide

Sterling Investment Bond. Investment funds guide Sterling Investment Bond Investment funds guide Contents Introduction 3 List of current investment funds by sector 4 Investment choice and flexibility 10 Fund risks 11 Managed funds 12 Multi-Managed funds

More information

Overzicht Fondsenassortiment Fundix FONDSNAAM ISINCODE LET OP

Overzicht Fondsenassortiment Fundix FONDSNAAM ISINCODE LET OP Aberdeen American Equity (USD) LU0011963831 Aberdeen Asia Pacific Equity (USD) LU0011963245 Aberdeen Asian Bond (USD) LU0094548533 Aberdeen Australasian Equity (AUD) LU0011963328 Aberdeen Emerging Markets

More information

Ausländische kollektive Kapitalanlagen Mutationen - Juli 2014

Ausländische kollektive Kapitalanlagen Mutationen - Juli 2014 Ausländische kollektive Kapitalanlagen Mutationen - Juli 2014 Zum Vertrieb in oder von der Schweiz aus genehmigt: ABN AMRO Multi-Manager Funds Aristotle US Equities (F01036687) Pzena European Equities

More information

Fondsenoverzicht Binck Fundcoach

Fondsenoverzicht Binck Fundcoach Hoe vindt u snel uw beleggingsfonds(en)? Klik op CTRL + F (zoeken). Rechtsboven verschijnt een invulscherm. Vul nu de ISIN-code óf (een deel van) de naam van uw beleggingsfonds in. Klik tot slot op Volgende.

More information

Zurich Investment Bonds. Funds guide

Zurich Investment Bonds. Funds guide Zurich Investment Bonds Funds guide Contents Introduction 3 List of current investment funds by sector 4 Investment choice and flexibility 6 Fund risks 7 Managed funds 8 Multimanaged funds 10 UK equity

More information

GROUP AWARD SIZE COMPANY

GROUP AWARD SIZE COMPANY AUSTRIA WINNER LIST GROUP AWARD SIZE COMPANY Bond Large BlackRock Bond Small T Rowe Price Equity Large Comgest Equity Small Seilern Mixed Assets Large Allianz Global Investors Mixed Assets Small Union

More information

C-QUADRAT Stuttgarter AllStars aktiv.

C-QUADRAT Stuttgarter AllStars aktiv. C-QUADRAT Stuttgarter AllStars aktiv. LU0293750971 F&C Portfolios Fund F&C European SmallCap I EUR 16,01 LU0322253906 db x-trackers MSCI Europe Small Cap Index UCITS ETF (DR) 1C 15,84 LU0533033238 Lyxor

More information

Collective Investment Undertakings Authorized/Registered By the CBB as of December 2011

Collective Investment Undertakings Authorized/Registered By the CBB as of December 2011 1 R Al Baraka Islamic Bank B.S.C.(c) N/A: KotakShariah Fund Limited-Class A shares 2007 2 R Ahli United Bank Alliance Bernstein Funds: American Growth Portfolio 2001 Biotechnology Portfolio 2001 Global

More information

Ausländische Anlagefonds Mutationen - April 2006

Ausländische Anlagefonds Mutationen - April 2006 Ausländische Anlagefonds Mutationen - April 2006 Zum Vertrieb in der Schweiz zugelassen: AIG MULTILABEL SICAV - AIT Europe Value Equity AIG MULTILABEL SICAV - AIT Switzerland Value Equity AIG MULTILABEL

More information

Fund volatility and performance

Fund volatility and performance Fund volatility and performance Our funds This guide provides you with details of the past performance and volatility figures for our fund range. These can be used to help you understand the investment

More information