Názov fondu
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1 mesiac
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3 mesiace
|
6 mesiacov
|
12 mesiacov
|
Od založenia anualizovane
|
Franklin Templeton Global Bond Fund EUR
|
2,18%
|
10,41%
|
0,18%
|
-4,64%
|
2,08%
|
Franklin Templeton Emerging Markets Bond Fund EUR (hedged)
|
4,60%
|
15,74%
|
4,30%
|
-16,03%
|
-2,91%
|
BlackRock Global Allocation Fund (eur hedged)
|
4,87%
|
6,75%
|
-1,24%
|
-8,89%
|
3,44%
|
Fidelity FF - Global Multi Asset Income Fund A-ACC-EUR (hedged)
|
2,99%
|
7,88%
|
0,35%
|
-9,84%
|
1,39%
|
Parvest Multi Asset Income Emerging EUR
|
6,42%
|
17,75%
|
10,08%
|
-16,28%
|
-1,24%
|
FTIF-Franklin U.S. Opportunities Fund-A(acc)EUR (hedged)
|
5,39%
|
1,20%
|
-12,59%
|
-25,77%
|
6,10%
|
Amundi Funds Pioneer US Equity Fundamental Growth EUR
|
3,55%
|
-4,92%
|
-7,88%
|
-9,03%
|
15,42%
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FF Global Infrastructure Fund EUR
|
3,59%
|
3,71%
|
0,37%
|
-0,63%
|
4,01%
|
Fidelity FF - America Fund A-ACC-EUR (hedged)
|
4,44%
|
2,52%
|
-1,05%
|
-1,27%
|
6,27%
|
BNP Paribas US Equity Growth Fund EUR
|
9,05%
|
7,51%
|
-4,87%
|
-16,45%
|
9,62%
|
Generali Emerging Europe EUR
|
0,08
|
N/A
|
11,68%
|
-11,95%
|
1,50%
|
NN (L) European High Dividend-P Cap EUR
|
6,10%
|
8,06%
|
4,48%
|
-0,60%
|
3,97%
|
BlackRock-BlackRock Euro-Markets A2 EUR
|
9,77%
|
15,04%
|
6,17%
|
1,26%
|
5,68%
|
PARVEST EQUITY HIGH DIVIDEND EUROPE EUR
|
6,20%
|
8,57%
|
3,62%
|
-2,38%
|
4,48%
|
Fidelity FF - Euro Blue Chip Fund A-ACC-EUR
|
8,22%
|
12,49%
|
3,26%
|
-3,17%
|
3,29%
|
FTIF-Franklin European Growth Fund-A(acc)EUR
|
4,09%
|
10,24%
|
0,00%
|
-1,96%
|
1,53%
|
PARVEST EQUITY EUROPE VALUE EUR
|
7,55%
|
11,28%
|
9,22%
|
-3,09%
|
3,04%
|
NN (L) Latin America Equity-P Cap EUR
|
6,67%
|
11,06%
|
-0,69%
|
-6,62%
|
1,64%
|
FTIF-Templeton Latin America Fund-A(acc)EUR
|
5,28%
|
-10,91%
|
3,75%
|
9,87%
|
-1,29%
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PARVEST EQUITY LATIN AMERICA Classic EUR
|
6,05%
|
-9,34%
|
4,53%
|
8,93%
|
-1,34%
|
FTIF-Templeton Frontier Markets Fund-A(acc)EUR
|
1,93%
|
-2,36%
|
-6,08%
|
-13,57%
|
6,05%
|
NN (L) Greater China Equity-P Cap EUR
|
0,11
|
0,36
|
-0,04
|
-0,21
|
0,06
|
Fidelity FF - China Consumer Fund A-ACC-EUR
|
10,16%
|
41,76%
|
6,12%
|
-4,43%
|
7,18%
|
PARVEST EQUITY CHINA Classic EUR
|
0,11
|
0,37
|
0,02
|
-0,11
|
0,06
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Fidelity FF - China Opportunities Fund A-ACC-EUR
|
12,94%
|
27,89%
|
3,30%
|
-9,25%
|
4,63%
|
Fidelity FF - China Focus Fund A-ACC-EUR
|
10,92%
|
35,17%
|
10,26%
|
9,38%
|
4,75%
|
Amundi FUNDS - CHINA EQUITY - EUR
|
0,11
|
0,42
|
0,06
|
-0,04
|
0,05
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FTIF-Templeton Asian Growth Fund-A(acc)EUR (hedged)
|
9,43%
|
24,27%
|
2,61%
|
-17,49%
|
-0,37%
|
PARVEST EQUITY BEST SELECTION ASIA ex-JAPAN Classic EUR
|
8,60%
|
19,46%
|
1,59%
|
-8,14%
|
4,03%
|
Fidelity FF - Emerging Asia Fund A-ACC-EUR
|
9,20%
|
20,32%
|
4,58%
|
3,87%
|
7,91%
|
FTIF-Templeton Frontier Markets Fund-N(acc)EUR (hedged)
|
2,98%
|
6,39%
|
-2,75%
|
-19,29%
|
2,51%
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Fidelity FF - Emerging Markets Fund A-ACC-EUR (hedged)
|
8,84%
|
16,56%
|
3,56%
|
-20,32%
|
1,49%
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FTIF-Franklin World Perspectives Fund-A(acc)EUR
|
6,39%
|
-1,63%
|
-8,47%
|
-8,24%
|
8,91%
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Fidelity FF - Global Equity Income Fund A-ACC-EUR
|
2,04%
|
0,58%
|
-2,98%
|
-5,99%
|
4,11%
|
Amundi Fund Solutions - Balanced -A EUR
|
3,71%
|
1,27%
|
-5,59%
|
-10,14%
|
3,92%
|
FTIF-Franklin K2 Alternative Strategies Fund-A(acc)USD
|
1,21%
|
1,93%
|
-0,30%
|
-6,34%
|
0,06%
|
Parvest Diversified Dynamic EUR
|
3,75%
|
6,63%
|
-2,07%
|
-9,56%
|
1,89%
|
Fidelity FF Global Demographic Fund EUR (hedged)
|
7,83%
|
9,07%
|
-2,42%
|
-11,01%
|
8,70%
|
Parvest Aqua Classic EUR
|
5,97%
|
2,66%
|
-2,30%
|
-3,20%
|
12,99%
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PARVEST EQUITY WORLD LOW VOLATILITY EUR
|
3,14%
|
-2,05%
|
-6,14%
|
-4,63%
|
3,88%
|
FTIF-Franklin Natural Resources Fund-A(acc)EUR
|
3,78%
|
-2,17%
|
12,12%
|
30,61%
|
0,36%
|
Amundi SF - EUR Commodities
|
-0,67%
|
-0,03%
|
-8,63%
|
2,81%
|
-2,89%
|
C-QUADRAT ARTS Total Return Global AMI (A) EUR
|
2,13%
|
0,73%
|
-2,77%
|
-2,58%
|
4,47%
|
J&T Bond Fond EUR
|
0,39%
|
1,55%
|
1,10%
|
1,34%
|
3,94%
|
J&T Select EUR
|
-1,61%
|
3,01%
|
0,20%
|
-6,79%
|
1,72%
|
J&T Profit EUR
|
-3,46%
|
-2,21%
|
-2,57%
|
-2,60%
|
1,93%
|
Výkonnosť J&T Bond Fond EUR, J&T Select EUR a J&T Profit EUR je k 27.1.2023
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