|
Allianz Global Investors Allianz Capital Plus AT (H2-CZK) (CZK) |
CZK |
2016-12-30 |
2960,54 |
2965,06 |
-0,15% |
-0,12% |
484,05 |
483,90 |
+0,03% |
+4,01% |
|
|
Allianz Global Investors Allianz Capital Plus AT Acc EUR (EUR) |
EUR |
2016-12-30 |
99,29 |
99,47 |
-0,18% |
+0,22% |
438,18 |
438,93 |
-0,17% |
+4,22% |
|
|
Allianz Global Investors Allianz Capital Plus AT Acc PLN (H) (PLN) |
PLN |
2016-12-30 |
411,65 |
412,39 |
-0,18% |
0,00% |
- |
- |
- |
- |
|
|
Allianz Global Investors Allianz Capital Plus CT Acc EUR (EUR) |
EUR |
2016-12-30 |
98,68 |
98,86 |
-0,18% |
-0,32% |
435,49 |
436,24 |
-0,17% |
+3,65% |
|
|
Allianz Global Investors Allianz Capital Plus WT Acc EUR (EUR) |
EUR |
2016-12-30 |
1006,44 |
1008,19 |
-0,17% |
+0,97% |
4441,52 |
4448,84 |
-0,16% |
+4,99% |
|
|
Allianz Global Investors Fund Global Dynamic Multi Asset Strategy 50 A Inc EUR (EUR) |
EUR |
2016-12-30 |
100,83 |
101,70 |
-0,86% |
+3,18% |
444,97 |
448,77 |
-0,85% |
+7,29% |
|
|
Allianz Global Investors Fund Global Dynamic Multi Asset Strategy 50 I Inc EUR (EUR) |
EUR |
2016-12-30 |
1011,75 |
1020,55 |
-0,86% |
+3,44% |
4464,95 |
4503,38 |
-0,85% |
+7,56% |
|
|
Allianz Global Investors Fund Global Dynamic Multi Asset Strategy 50 I Inc USD (USD) |
USD |
2016-12-30 |
1003,76 |
1001,49 |
+0,23% |
+0,08% |
4231,95 |
4232,30 |
-0,01% |
+9,14% |
|
|
Allianz Global Investors Fund Global Dynamic Multi Asset Strategy 50 WT Acc USD (USD) |
USD |
2016-12-30 |
1020,14 |
1017,82 |
+0,23% |
+1,65% |
4301,01 |
4301,31 |
-0,01% |
+10,86% |
|
|
Allianz Global Investors Fund Income and Growth A (H2-EUR) Inc EUR (H) (EUR) |
EUR |
2016-12-30 |
113,62 |
113,80 |
-0,16% |
+6,25% |
501,42 |
502,17 |
-0,15% |
+10,48% |
|
|
Allianz Global Investors Fund Income and Growth A Inc USD (USD) |
USD |
2016-12-30 |
10,43 |
10,44 |
-0,10% |
+7,53% |
43,97 |
44,12 |
-0,33% |
+17,27% |
|
|
Allianz Global Investors Fund Income and Growth AM (H2-AUD) Inc AUD (H) (AUD) |
AUD |
2016-12-30 |
9,42 |
9,44 |
-0,21% |
+1,18% |
28,66 |
28,70 |
-0,17% |
+9,50% |
|
|
Allianz Global Investors Fund Income and Growth AM (H2-CAD) Inc CAD (H) (CAD) |
CAD |
2016-12-30 |
8,90 |
8,92 |
-0,22% |
+1,25% |
27,78 |
27,77 |
+0,04% |
+13,75% |
|
|
Allianz Global Investors Fund Income and Growth AM (H2-EUR) Inc EUR (H) (EUR) |
EUR |
2016-12-30 |
8,99 |
9,00 |
-0,11% |
+1,47% |
39,67 |
39,71 |
-0,10% |
+5,51% |
|
|
Allianz Global Investors Fund Income and Growth AM (H2-GBP) Inc GBP (H) (GBP) |
GBP |
2016-12-30 |
8,92 |
8,93 |
-0,11% |
+1,13% |
46,11 |
46,23 |
-0,25% |
-9,05% |
|
|
Allianz Global Investors Fund Income and Growth AM (H2-NZD) Inc NZD (H) (NZD) |
NZD |
2016-12-30 |
8,62 |
8,63 |
-0,12% |
-0,12% |
25,30 |
25,26 |
+0,18% |
+10,42% |
|
|
Allianz Global Investors Fund Income and Growth AM (H2-RMB) Inc CNY (H) (CNY) |
CNY |
2016-12-30 |
8,72 |
8,75 |
-0,34% |
-0,11% |
5,29 |
5,31 |
-0,39% |
+1,24% |
|
|
Allianz Global Investors Fund Income and Growth AM (H2-SGD) Inc SGD (H) (SGD) |
SGD |
2016-12-30 |
9,16 |
9,17 |
-0,11% |
+1,55% |
26,66 |
26,71 |
-0,19% |
+7,87% |
|
|
Allianz Global Investors Fund Income and Growth AM (H2-ZAR) Inc ZAR (H) (ZAR) |
ZAR |
2016-12-30 |
138,24 |
138,38 |
-0,10% |
+1,62% |
42,63 |
42,04 |
+1,41% |
+23,78% |
|
|
Allianz Global Investors Fund Income and Growth AM Inc HKD Inc HKD (HKD) |
HKD |
2016-12-30 |
9,08 |
9,09 |
-0,11% |
+1,91% |
4,93 |
4,95 |
-0,37% |
+11,04% |
|
|
Allianz Global Investors Fund Income and Growth AM Inc USD Inc USD (USD) |
USD |
2016-12-30 |
9,35 |
9,37 |
-0,21% |
+2,07% |
39,42 |
39,60 |
-0,45% |
+11,32% |
|
|
Allianz Global Investors Fund Income and Growth AT (H2-EUR) Acc EUR ( H) (EUR) |
EUR |
2016-12-30 |
109,65 |
109,80 |
-0,14% |
+11,46% |
483,90 |
484,51 |
-0,13% |
+15,90% |
|
|
Allianz Global Investors Fund Income and Growth AT Acc USD Acc USD (USD) |
USD |
2016-12-30 |
15,18 |
15,20 |
-0,13% |
+12,86% |
64,00 |
64,24 |
-0,37% |
+23,09% |
|
|
Allianz Global Investors Fund Income and Growth CM Inc USD (USD) |
USD |
2016-12-30 |
8,61 |
8,63 |
-0,23% |
-1,15% |
36,30 |
36,47 |
-0,47% |
+7,81% |
|
|
Allianz Global Investors Fund Income and Growth CT (H2-EUR) Acc EUR (H) (EUR) |
EUR |
2016-12-30 |
129,00 |
129,18 |
-0,14% |
+8,50% |
569,29 |
570,03 |
-0,13% |
+12,83% |
|
|
Allianz Global Investors Fund Income and Growth I (H2-EUR) Inc EUR (H) (EUR) |
EUR |
2016-12-30 |
1277,96 |
1280,06 |
-0,16% |
+5,24% |
5639,77 |
5648,52 |
-0,15% |
+9,43% |
|
|
Allianz Global Investors Fund Income and Growth I Inc EUR (EUR) |
EUR |
2016-12-30 |
1245,54 |
1260,99 |
-1,23% |
+9,99% |
5496,69 |
5564,37 |
-1,22% |
+14,38% |
|
|
Allianz Global Investors Fund Income and Growth IT (H2-EUR) Acc EUR (EUR) |
EUR |
2016-12-30 |
1446,86 |
1449,16 |
-0,16% |
+8,01% |
6385,14 |
6394,71 |
-0,15% |
+12,31% |
|
|
Allianz Global Investors Fund Income and Growth IT (H2-SEK) Acc SEK (H) (SEK) |
SEK |
2016-12-30 |
13448,00 |
13470,00 |
-0,16% |
+7,44% |
6203,58 |
6192,17 |
+0,18% |
+7,11% |
|
|
Allianz Global Investors Fund Income and Growth IT Acc USD (USD) |
USD |
2016-12-30 |
1220,28 |
1222,00 |
-0,14% |
+9,29% |
5144,82 |
5164,17 |
-0,37% |
+19,19% |
|
|
Allianz Global Investors Fund Income and Growth P (H2-EUR) Inc EUR (H) (EUR) |
EUR |
2016-12-30 |
1019,34 |
1020,81 |
-0,14% |
+5,19% |
4498,45 |
4504,53 |
-0,13% |
+9,38% |
|
|
Allianz Global Investors Fund Income and Growth P Inc EUR (EUR) |
EUR |
2016-12-30 |
1368,34 |
1385,31 |
-1,22% |
+10,18% |
6038,62 |
6112,96 |
-1,22% |
+14,57% |
|
|
Allianz Global Investors Fund Income and Growth P Inc USD (USD) |
USD |
2016-12-30 |
1029,11 |
1030,56 |
-0,14% |
+6,46% |
4338,83 |
4355,15 |
-0,37% |
+16,10% |
|
|
Allianz Global Investors Fund Income and Growth PM (H2-GBP) Inc GBP (H) (GBP) |
GBP |
2016-12-30 |
980,14 |
981,45 |
-0,13% |
+2,04% |
5066,74 |
5080,77 |
-0,28% |
-8,23% |
|
|
Allianz Global Investors Fund Income and Growth PM Inc USD (USD) |
USD |
2016-12-30 |
856,94 |
858,14 |
-0,14% |
-1,67% |
3612,94 |
3626,50 |
-0,37% |
+7,24% |
|
|
Allianz Global Investors Fund Income and Growth RM (H2-AUD) Inc AUD (H) (AUD) |
AUD |
2016-12-30 |
111,52 |
111,68 |
-0,14% |
0,00% |
339,24 |
339,57 |
-0,10% |
0,00% |
|
|
Allianz Global Investors Fund Income and Growth RM (H2-CAD) Inc CAD (H) (CAD) |
CAD |
2016-12-30 |
111,01 |
111,19 |
-0,16% |
0,00% |
346,55 |
346,20 |
+0,10% |
0,00% |
|
|
Allianz Global Investors Fund Income and Growth RM (H2-EUR) Inc EUR (EUR) |
EUR |
2016-12-30 |
100,54 |
100,68 |
-0,14% |
-0,64% |
443,69 |
444,27 |
-0,13% |
+3,32% |
|
|
Allianz Global Investors Fund Income and Growth RM (H2-GBP) Inc GBP (H) (GBP) |
GBP |
2016-12-30 |
94,93 |
95,06 |
-0,14% |
+1,77% |
490,73 |
492,11 |
-0,28% |
-8,48% |
|
|
Allianz Global Investors Fund Income and Growth RM (H2-RMB) Inc CNY (H) (CNY) |
CNY |
2016-12-30 |
10,84 |
10,87 |
-0,28% |
0,00% |
6,57 |
6,59 |
-0,33% |
0,00% |
|
|
Allianz Global Investors Fund Income and Growth RM (H2-SGD) Inc SGD (H) (SGD) |
SGD |
2016-12-30 |
10,88 |
10,90 |
-0,18% |
0,00% |
31,66 |
31,75 |
-0,27% |
0,00% |
|
|
Allianz Global Investors Fund Income and Growth RM Inc HKD (HKD) |
HKD |
2016-12-30 |
10,11 |
10,12 |
-0,10% |
-0,10% |
5,49 |
5,51 |
-0,36% |
+8,85% |
|
|
Allianz Global Investors Fund Income and Growth RM Inc USD (USD) |
USD |
2016-12-30 |
10,09 |
10,11 |
-0,20% |
-0,30% |
42,54 |
42,72 |
-0,43% |
+8,74% |
|
|
Allianz Global Investors Fund Income and Growth RT (H2-EUR) Acc EUR (H) (EUR) |
EUR |
2016-12-30 |
118,89 |
119,07 |
-0,15% |
0,00% |
524,67 |
525,42 |
-0,14% |
0,00% |
|
|
Allianz Global Investors Fund Income and Growth RT Acc USD (USD) |
USD |
2016-12-30 |
11,26 |
11,27 |
-0,09% |
+9,21% |
47,47 |
47,63 |
-0,32% |
+19,11% |
|
|
BlackRock Global Funds Euro Reserve Fund A2 Acc EUR (EUR) |
EUR |
2016-12-30 |
73,67 |
73,67 |
0,00% |
-0,30% |
325,11 |
325,08 |
+0,01% |
+3,67% |
|
|
BlackRock Global Funds Euro Reserve Fund E2 Acc EUR (EUR) |
EUR |
2016-12-30 |
70,72 |
70,72 |
0,00% |
-0,55% |
312,09 |
312,07 |
+0,01% |
+3,41% |
|
|
BlackRock Global Funds Flexible Multi-Asset Fund A2 Acc EUR (EUR) |
EUR |
2016-12-30 |
13,97 |
14,04 |
-0,50% |
+0,65% |
61,65 |
61,95 |
-0,49% |
+4,66% |
|
|
BlackRock Global Funds Flexible Multi-Asset Fund A2 Acc USD (H) (USD) |
USD |
2016-12-30 |
33,43 |
33,60 |
-0,51% |
+1,30% |
140,94 |
141,99 |
-0,74% |
+10,48% |
|
|
BlackRock Global Funds Flexible Multi-Asset Fund E2 Acc EUR (EUR) |
EUR |
2016-12-30 |
12,78 |
12,85 |
-0,54% |
+0,08% |
56,40 |
56,70 |
-0,54% |
+4,07% |
|
|
BlackRock Global Funds Flexible Multi-Asset Fund E2 Acc USD (H) (USD) |
USD |
2016-12-30 |
30,59 |
30,74 |
-0,49% |
+0,82% |
128,97 |
129,91 |
-0,72% |
+9,96% |
|
|
BlackRock Global Funds Global Allocation Fund A2 Acc EUR (EUR) |
EUR |
2016-12-30 |
48,03 |
48,43 |
-0,83% |
+6,52% |
211,96 |
213,71 |
-0,82% |
+10,76% |
|
|
BlackRock Global Funds Global Allocation Fund A2 Acc EUR (H) (EUR) |
EUR |
2016-12-30 |
34,27 |
34,26 |
+0,03% |
+1,81% |
151,24 |
151,18 |
+0,04% |
+5,87% |
|
|
BlackRock Global Funds Global Allocation Fund A2 Acc GBP (H) (GBP) |
GBP |
2016-12-30 |
27,36 |
27,35 |
+0,04% |
+2,13% |
141,44 |
141,59 |
-0,11% |
-8,15% |
|
|
BlackRock Global Funds Global Allocation Fund A2 Acc PLN (H) (PLN) |
PLN |
2016-12-30 |
14,88 |
14,87 |
+0,07% |
+3,33% |
- |
- |
- |
- |
|
|
BlackRock Global Funds Global Allocation Fund A2 Acc USD (USD) |
USD |
2016-12-30 |
50,66 |
50,64 |
+0,04% |
+2,90% |
213,59 |
214,00 |
-0,19% |
+12,23% |
|
|
BlackRock Global Funds Global Allocation Fund E2 Acc EUR (EUR) |
EUR |
2016-12-30 |
44,62 |
44,99 |
-0,82% |
+5,99% |
196,91 |
198,53 |
-0,81% |
+10,21% |
|
|
BlackRock Global Funds Global Allocation Fund E2 Acc EUR (H) (EUR) |
EUR |
2016-12-30 |
33,18 |
33,17 |
+0,03% |
+1,31% |
146,43 |
146,37 |
+0,04% |
+5,35% |
|
|
BlackRock Global Funds Global Allocation Fund E2 Acc PLN (H) (PLN) |
PLN |
2016-12-30 |
14,42 |
14,42 |
0,00% |
+2,78% |
- |
- |
- |
- |
|
|
BlackRock Global Funds Global Allocation Fund E2 Acc USD (USD) |
USD |
2016-12-30 |
47,07 |
47,05 |
+0,04% |
+2,39% |
198,45 |
198,83 |
-0,19% |
+11,67% |
|
|
BlackRock Global Funds Global Multi-Asset Income Fund A2 Acc EUR (H) (EUR) |
EUR |
2016-12-30 |
10,15 |
10,14 |
+0,10% |
+3,78% |
44,79 |
44,74 |
+0,11% |
+7,92% |
|
|
BlackRock Global Funds Global Multi-Asset Income Fund E2 Acc EUR (EUR) |
EUR |
2016-12-30 |
13,57 |
13,68 |
-0,80% |
+8,21% |
59,89 |
60,37 |
-0,79% |
+12,53% |
|
|
BlackRock Global Funds Global Multi-Asset Income Fund E2 Acc EUR (H) (EUR) |
EUR |
2016-12-30 |
10,02 |
10,01 |
+0,10% |
+3,30% |
44,22 |
44,17 |
+0,11% |
+7,41% |
|
|
BlackRock Strategic Funds Dynamic Diversified Growth Fund A2 Acc EUR (EUR) |
EUR |
2016-12-30 |
109,59 |
109,42 |
+0,16% |
-3,73% |
483,63 |
482,84 |
+0,16% |
+0,10% |
|
|
BlackRock Strategic Funds Dynamic Diversified Growth Fund E2 Acc EUR (EUR) |
EUR |
2016-12-30 |
107,00 |
106,84 |
+0,15% |
-4,21% |
472,20 |
471,45 |
+0,16% |
-0,39% |
|
|
BNP Paribas Asset Management BNP Paribas L1 Diversified World Balanced C Acc EUR (H) (EUR) |
EUR |
2016-12-30 |
197,76 |
198,20 |
-0,22% |
+3,04% |
872,74 |
874,60 |
-0,21% |
+7,15% |
|
|
BNP Paribas Asset Management BNP Paribas L1 Diversified World Growth C (Acc) (EUR) |
EUR |
2016-12-30 |
205,03 |
205,63 |
-0,29% |
+2,93% |
904,82 |
907,38 |
-0,28% |
+7,03% |
|
|
Fidelity Funds - Global Multi Asset Income Fund A Acc EUR (H) (EUR) |
EUR |
2016-12-30 |
11,28 |
11,28 |
0,00% |
+5,92% |
49,78 |
49,78 |
+0,01% |
+10,14% |
|
|
Fidelity Funds - Global Multi Asset Income Fund A Acc PLN (H) (PLN) |
PLN |
2016-12-30 |
10,54 |
10,53 |
+0,09% |
+6,79% |
- |
- |
- |
- |
|
|
Fidelity Funds - Global Multi Asset Income Fund A Acc USD (USD) |
USD |
2016-12-30 |
11,25 |
11,23 |
+0,18% |
+6,43% |
47,43 |
47,46 |
-0,06% |
+16,07% |
|
|
Fidelity Funds - Global Multi Asset Tactical Defensive Fund A Acc EUR (EUR) |
EUR |
2016-12-30 |
14,43 |
14,52 |
-0,62% |
+4,95% |
63,68 |
64,07 |
-0,61% |
+9,13% |
|
|
Fidelity Funds - Global Multi Asset Tactical Defensive Fund A Acc EUR (H) (EUR) |
EUR |
2016-12-30 |
12,90 |
12,90 |
0,00% |
-0,08% |
56,93 |
56,92 |
+0,01% |
+3,90% |
|
|
Fidelity Funds - Global Multi Asset Tactical Defensive Fund E Acc EUR (EUR) |
EUR |
2016-12-30 |
13,76 |
13,85 |
-0,65% |
+4,24% |
60,72 |
61,12 |
-0,64% |
+8,40% |
|
|
Fidelity Funds - Global Multi Asset Tactical Defensive Fund E Acc EUR (H) (EUR) |
EUR |
2016-12-30 |
12,29 |
12,29 |
0,00% |
-0,81% |
54,24 |
54,23 |
+0,01% |
+3,15% |
|
|
Fidelity Funds - Global Multi Asset Tactical Moderate Fund A Acc EUR (EUR) |
EUR |
2016-12-30 |
14,55 |
14,64 |
-0,61% |
+5,82% |
64,21 |
64,60 |
-0,61% |
+10,03% |
|
|
Fidelity Funds - Global Multi Asset Tactical Moderate Fund A Acc EUR (H) (EUR) |
EUR |
2016-12-30 |
11,93 |
11,93 |
0,00% |
+0,93% |
52,65 |
52,64 |
+0,01% |
+4,95% |
|
|
Fidelity Funds - Global Multi Asset Tactical Moderate Fund E Acc EUR (EUR) |
EUR |
2016-12-30 |
13,73 |
13,82 |
-0,65% |
+5,21% |
60,59 |
60,98 |
-0,64% |
+9,40% |
|
|
Fidelity Funds - Global Multi Asset Tactical Moderate Fund E Acc EUR (H) (EUR) |
EUR |
2016-12-30 |
11,32 |
11,32 |
0,00% |
+0,18% |
49,96 |
49,95 |
+0,01% |
+4,17% |
|
|
Franklin Templeton Investment Funds Brazil Opportunities Fund A Acc EUR (H) (EUR) |
EUR |
2016-12-30 |
10,06 |
10,05 |
+0,10% |
+12,53% |
44,40 |
44,35 |
+0,11% |
+17,01% |
|
|
Franklin Templeton Investment Funds Brazil Opportunities Fund A Acc USD (USD) |
USD |
2016-12-30 |
10,25 |
10,24 |
+0,10% |
+14,14% |
43,22 |
43,27 |
-0,14% |
+24,48% |
|
|
Franklin Templeton Investment Funds Brazil Opportunities Fund N Acc EUR (H) (EUR) |
EUR |
2016-12-30 |
9,87 |
9,87 |
0,00% |
+12,03% |
43,56 |
43,55 |
+0,01% |
+16,50% |
|
|
Franklin Templeton Investment Funds Brazil Opportunities Fund N Acc USD (USD) |
USD |
2016-12-30 |
10,03 |
10,02 |
+0,10% |
+13,59% |
42,29 |
42,34 |
-0,13% |
+23,88% |
|
|
Franklin Templeton Investment Funds Diversified Balanced Fund A Acc EUR (EUR) |
EUR |
2016-12-30 |
13,37 |
13,39 |
-0,15% |
-0,22% |
59,00 |
59,09 |
-0,14% |
+3,75% |
|
|
Franklin Templeton Investment Funds Diversified Balanced Fund N Acc EUR (EUR) |
EUR |
2016-12-30 |
12,49 |
12,51 |
-0,16% |
-1,03% |
55,12 |
55,20 |
-0,15% |
+2,91% |
|
|
Franklin Templeton Investment Funds Diversified Conservative Fund A Acc EUR (EUR) |
EUR |
2016-12-30 |
13,55 |
13,56 |
-0,07% |
+0,74% |
59,80 |
59,84 |
-0,06% |
+4,76% |
|
|
Franklin Templeton Investment Funds Diversified Conservative Fund N Acc EUR (EUR) |
EUR |
2016-12-30 |
12,51 |
12,52 |
-0,08% |
-0,24% |
55,21 |
55,25 |
-0,07% |
+3,74% |
|
|
Franklin Templeton Investment Funds Diversified Dynamic Fund A Acc EUR (EUR) |
EUR |
2016-12-30 |
13,30 |
13,34 |
-0,30% |
-1,34% |
58,69 |
58,87 |
-0,29% |
+2,60% |
|
|
Franklin Templeton Investment Funds Diversified Dynamic Fund N Acc EUR (EUR) |
EUR |
2016-12-30 |
12,26 |
12,29 |
-0,24% |
-2,00% |
54,10 |
54,23 |
-0,24% |
+1,91% |
|
|
Franklin Templeton Investment Funds Emerging Markets Balanced Fund A Acc EUR (EUR) |
EUR |
2016-12-30 |
11,70 |
11,73 |
-0,26% |
+19,27% |
51,63 |
51,76 |
-0,25% |
+24,02% |
|
|
Franklin Templeton Investment Funds Emerging Markets Balanced Fund A Acc EUR (H) (EUR) |
EUR |
2016-12-30 |
8,10 |
8,09 |
+0,12% |
+13,45% |
35,75 |
35,70 |
+0,13% |
+17,97% |
|
|
Franklin Templeton Investment Funds Emerging Markets Balanced Fund A Acc USD (USD) |
USD |
2016-12-30 |
8,31 |
8,30 |
+0,12% |
+14,78% |
35,04 |
35,08 |
-0,11% |
+25,18% |
|
|
Franklin Templeton Investment Funds Emerging Markets Balanced Fund N Acc EUR (H) (EUR) |
EUR |
2016-12-30 |
7,89 |
7,88 |
+0,13% |
+13,04% |
34,82 |
34,77 |
+0,14% |
+17,54% |
|
|
Franklin Templeton Investment Funds Emerging Markets Balanced Fund N Acc USD (USD) |
USD |
2016-12-30 |
8,10 |
8,10 |
0,00% |
+14,25% |
34,15 |
34,23 |
-0,23% |
+24,59% |
|
|
Franklin Templeton Investment Funds Global Balanced Fund A Acc EUR (EUR) |
EUR |
2016-12-30 |
25,59 |
25,68 |
-0,35% |
+7,43% |
112,93 |
113,32 |
-0,34% |
+11,71% |
|
|
Franklin Templeton Investment Funds Global Balanced Fund A Acc USD (USD) |
USD |
2016-12-30 |
26,92 |
26,91 |
+0,04% |
+3,38% |
113,50 |
113,72 |
-0,20% |
+12,74% |
|
|
Franklin Templeton Investment Funds Global Balanced Fund N Acc EUR (EUR) |
EUR |
2016-12-30 |
17,96 |
18,02 |
-0,33% |
+6,90% |
79,26 |
79,52 |
-0,32% |
+11,16% |
|
|
Franklin Templeton Investment Funds Global Fundamental Strategies Fund A Acc EUR (EUR) |
EUR |
2016-12-30 |
12,53 |
12,57 |
-0,32% |
+10,69% |
55,30 |
55,47 |
-0,31% |
+15,10% |
|
|
Franklin Templeton Investment Funds Global Fundamental Strategies Fund A Acc EUR (H) (EUR) |
EUR |
2016-12-30 |
8,83 |
8,83 |
0,00% |
+5,50% |
38,97 |
38,96 |
+0,01% |
+9,70% |
|
|
Franklin Templeton Investment Funds Global Fundamental Strategies Fund A Acc USD (USD) |
USD |
2016-12-30 |
13,17 |
13,16 |
+0,08% |
+6,47% |
55,53 |
55,61 |
-0,16% |
+16,11% |
|
|
Franklin Templeton Investment Funds Global Fundamental Strategies Fund N Acc EUR (EUR) |
EUR |
2016-12-30 |
13,04 |
13,09 |
-0,38% |
+9,86% |
57,55 |
57,76 |
-0,37% |
+14,23% |
|
|
Franklin Templeton Investment Funds Global Fundamental Strategies Fund N Acc EUR (H) (EUR) |
EUR |
2016-12-30 |
7,88 |
7,88 |
0,00% |
0,00% |
34,78 |
34,77 |
+0,01% |
0,00% |
|
|
Franklin Templeton Investment Funds Global Fundamental Strategies Fund N Acc PLN (H) (PLN) |
PLN |
2016-12-30 |
15,23 |
15,23 |
0,00% |
+6,35% |
- |
- |
- |
- |
|
|
Franklin Templeton Investment Funds Global Fundamental Strategies Fund N Acc USD (USD) |
USD |
2016-12-30 |
10,50 |
10,50 |
0,00% |
+5,63% |
44,27 |
44,37 |
-0,23% |
+15,20% |
|
|
Franklin Templeton Investment Funds Global Income Fund A Acc EUR (EUR) |
EUR |
2016-12-30 |
22,12 |
22,21 |
-0,41% |
+8,54% |
97,62 |
98,01 |
-0,40% |
+12,86% |
|
|
Franklin Templeton Investment Funds Global Income Fund A Acc USD (USD) |
USD |
2016-12-30 |
18,50 |
18,51 |
-0,05% |
+4,46% |
78,00 |
78,22 |
-0,29% |
+13,92% |
|
|
Franklin Templeton Investment Funds Global Income Fund N Acc USD (USD) |
USD |
2016-12-30 |
17,47 |
17,47 |
0,00% |
+3,93% |
73,66 |
73,83 |
-0,23% |
+13,34% |
|
|
Franklin Templeton Investment Funds Global Multi-Asset Income Fund A Acc EUR (EUR) |
EUR |
2016-12-30 |
11,77 |
11,78 |
-0,08% |
+3,70% |
51,94 |
51,98 |
-0,08% |
+7,83% |
|
|
Franklin Templeton Investment Funds Global Multi-Asset Income Fund A Acc USD (H) (USD) |
USD |
2016-12-30 |
9,95 |
9,96 |
-0,10% |
+4,96% |
41,95 |
42,09 |
-0,33% |
+14,47% |
|
|
Franklin Templeton Investment Funds Global Multi-Asset Income Fund N Acc EUR (EUR) |
EUR |
2016-12-30 |
11,56 |
11,57 |
-0,09% |
+3,21% |
51,02 |
51,05 |
-0,08% |
+7,33% |
|
|
Franklin Templeton Investment Funds Income Fund N Acc USD (USD) |
USD |
2016-12-30 |
21,17 |
21,20 |
-0,14% |
+11,83% |
89,25 |
89,59 |
-0,38% |
+21,96% |
|
|
Franklin Templeton Investment Funds K2 Alternative Strategies Fund A Acc EUR (H) (EUR) |
EUR |
2016-12-30 |
10,45 |
10,46 |
-0,10% |
+1,55% |
46,12 |
46,16 |
-0,09% |
+5,60% |
|
|
Franklin Templeton Investment Funds K2 Alternative Strategies Fund A Acc USD (USD) |
USD |
2016-12-30 |
10,57 |
10,58 |
-0,09% |
+2,92% |
44,56 |
44,71 |
-0,33% |
+12,24% |
|
|
Franklin Templeton Investment Funds K2 Alternative Strategies Fund N Acc EUR (H) (EUR) |
EUR |
2016-12-30 |
10,27 |
10,28 |
-0,10% |
+0,79% |
45,32 |
45,36 |
-0,09% |
+4,80% |
|
|
Franklin Templeton Investment Funds K2 Alternative Strategies Fund N Acc PLN (H) (PLN) |
PLN |
2016-12-30 |
10,06 |
10,07 |
-0,10% |
+3,18% |
- |
- |
- |
- |
|
|
Franklin Templeton Investment Funds K2 Alternative Strategies Fund N Acc USD (USD) |
USD |
2016-12-30 |
10,39 |
10,40 |
-0,10% |
+2,16% |
43,81 |
43,95 |
-0,33% |
+11,42% |
|
|
HSBC Global Investment Funds Global Macro |
EUR |
2016-12-30 |
100,99 |
101,15 |
-0,16% |
-2,42% |
445,68 |
446,35 |
-0,15% |
+1,47% |
|
|
JPMorgan Investment Funds Global Income C Acc PLN (H) (PLN) |
PLN |
2016-12-30 |
450,02 |
449,70 |
+0,07% |
+8,08% |
- |
- |
- |
- |
|
|
JPMorgan Investment Funds Global Macro Balanced D Acc EUR (EUR) |
EUR |
2016-12-30 |
128,08 |
128,12 |
-0,03% |
-5,23% |
565,23 |
565,36 |
-0,02% |
-1,46% |
|
|
JPMorgan Investment Funds Global Macro D Acc USD (USD) |
USD |
2016-12-30 |
126,01 |
126,05 |
-0,03% |
-3,74% |
531,27 |
532,69 |
-0,27% |
+4,98% |
|
|
Nordea 1 Stable Return Fund AP Inc EUR (EUR) |
EUR |
2016-12-30 |
14,92 |
14,91 |
+0,07% |
+2,19% |
65,84 |
65,79 |
+0,08% |
+6,26% |
|
|
Nordea 1 Stable Return Fund BP Acc EUR (EUR) |
EUR |
2016-12-30 |
16,35 |
16,34 |
+0,06% |
+2,89% |
72,15 |
72,10 |
+0,07% |
+6,99% |
|
|
Nordea 1 Stable Return Fund E Acc PLN (PLN) |
PLN |
2016-12-30 |
66,58 |
66,56 |
+0,03% |
+6,24% |
- |
- |
- |
- |
|
|
Nordea 1 Stable Return Fund HE Acc PLN (H) (PLN) |
PLN |
2016-12-30 |
68,43 |
68,41 |
+0,03% |
+3,85% |
- |
- |
- |
- |
|
|
Raiffeisen Capital Management Raiffeisen Global Allocation Strategies Plus |
EUR |
2016-12-30 |
140,62 |
140,54 |
+0,06% |
+9,42% |
620,57 |
620,16 |
+0,07% |
+13,78% |
|
|
Raiffeisen Capital Management Raiffeisen Zrównoważony Mix (R) VTA Acc EUR (EUR) |
EUR |
2016-12-30 |
1105,34 |
1108,82 |
-0,31% |
+4,89% |
4877,98 |
4892,89 |
-0,30% |
+9,07% |
|
|
Schroder International Selection Flexible Retirement A Acc EUR (EUR) |
EUR |
2016-12-30 |
127,31 |
127,41 |
-0,08% |
-0,14% |
561,83 |
562,22 |
-0,07% |
+3,84% |
|
|
Schroder International Selection Flexible Retirement A Inc EUR (EUR) |
EUR |
2016-12-30 |
115,51 |
115,61 |
-0,09% |
-2,14% |
509,76 |
510,15 |
-0,08% |
+1,76% |
|
|
Schroder International Selection Flexible Retirement A1 Acc (EUR) |
EUR |
2016-12-30 |
124,20 |
124,31 |
-0,09% |
-0,65% |
548,11 |
548,54 |
-0,08% |
+3,31% |
|
|
Schroder International Selection Flexible Retirement A1 Inc EUR (EUR) |
EUR |
2016-12-30 |
96,32 |
96,40 |
-0,08% |
-2,62% |
425,07 |
425,38 |
-0,07% |
+1,26% |
|
|
Schroder International Selection Global Diversified Growth A Acc EUR (EUR) |
EUR |
2016-12-30 |
125,53 |
125,84 |
-0,25% |
+2,89% |
553,98 |
555,29 |
-0,24% |
+6,99% |
|
|
Schroder International Selection Global Diversified Growth A Acc USD (H) (USD) |
USD |
2016-12-30 |
124,86 |
125,19 |
-0,26% |
+4,13% |
526,42 |
529,05 |
-0,50% |
+13,56% |
|
|
Schroder International Selection Global Diversified Growth A Inc EUR (EUR) |
EUR |
2016-12-30 |
108,47 |
108,73 |
-0,24% |
-0,15% |
478,69 |
479,79 |
-0,23% |
+3,83% |
|
|
Schroder International Selection Global Diversified Growth A1 Acc EUR (EUR) |
EUR |
2016-12-30 |
119,82 |
120,12 |
-0,25% |
+2,38% |
528,78 |
530,05 |
-0,24% |
+6,45% |
|
|
Schroder International Selection Global Diversified Growth A1 Acc PLN (PLN) |
PLN |
2016-12-30 |
569,50 |
571,01 |
-0,26% |
+4,37% |
- |
- |
- |
- |
|
|
Schroder International Selection Global Diversified Growth A1 Acc USD (H) (USD) |
USD |
2016-12-30 |
120,58 |
120,90 |
-0,26% |
+3,60% |
508,38 |
510,92 |
-0,50% |
+12,98% |
|
|
Schroder International Selection Global Diversified Growth A1 Inc EUR (EUR) |
EUR |
2016-12-30 |
102,90 |
103,16 |
-0,25% |
-0,65% |
454,11 |
455,21 |
-0,24% |
+3,31% |
|
|
Schroder International Selection Global Multi-Asset Balanced A Acc EUR (EUR) |
EUR |
2016-12-30 |
123,78 |
123,94 |
-0,13% |
-0,31% |
546,25 |
546,91 |
-0,12% |
+3,67% |
|
|
Schroder International Selection Global Multi-Asset Balanced A Inc EUR (EUR) |
EUR |
2016-12-30 |
105,59 |
105,72 |
-0,12% |
-3,26% |
465,98 |
466,51 |
-0,11% |
+0,59% |
|
|
Schroder International Selection Global Multi-Asset Balanced A1 Acc EUR (EUR) |
EUR |
2016-12-30 |
119,33 |
119,49 |
-0,13% |
-0,81% |
526,62 |
527,27 |
-0,12% |
+3,15% |
|
|
Schroder International Selection Global Multi-Asset Balanced A1 Inc EUR (EUR) |
EUR |
2016-12-30 |
101,78 |
101,91 |
-0,13% |
-3,75% |
449,17 |
449,70 |
-0,12% |
+0,09% |
|
|
Schroder International Selection Global Multi-Asset Income A Acc EUR (H) (EUR) |
EUR |
2016-12-30 |
114,23 |
114,22 |
+0,01% |
+5,95% |
504,11 |
504,02 |
+0,02% |
+10,17% |
|
|
Schroder International Selection Global Multi-Asset Income A Acc USD (USD) |
USD |
2016-12-30 |
116,78 |
116,77 |
+0,01% |
+7,30% |
492,36 |
493,47 |
-0,23% |
+17,01% |
|
|
Schroder International Selection Global Multi-Asset Income A Inc EUR (H) (EUR) |
EUR |
2016-12-30 |
90,22 |
90,21 |
+0,01% |
+0,73% |
398,15 |
398,07 |
+0,02% |
+4,74% |
|
|
Schroder International Selection Global Multi-Asset Income A Inc USD (USD) |
USD |
2016-12-30 |
92,40 |
92,40 |
0,00% |
+2,04% |
389,57 |
390,48 |
-0,23% |
+11,29% |
|
|
Schroder International Selection Global Multi-Asset Income A1 Acc EUR (H) (EUR) |
EUR |
2016-12-30 |
111,49 |
111,48 |
+0,01% |
+5,42% |
492,02 |
491,93 |
+0,02% |
+9,62% |
|
|
Schroder International Selection Global Multi-Asset Income A1 Acc USD (USD) |
USD |
2016-12-30 |
114,08 |
114,08 |
0,00% |
+6,76% |
480,97 |
482,10 |
-0,23% |
+16,43% |
|
|
Schroder International Selection Global Multi-Asset Income A1 Inc EUR (H) (EUR) |
EUR |
2016-12-30 |
88,12 |
88,11 |
+0,01% |
+0,23% |
388,88 |
388,80 |
+0,02% |
+4,22% |
|
|
Schroder International Selection Global Multi-Asset Income A1 Inc PLN (H) (PLN) |
PLN |
2016-12-30 |
392,62 |
392,64 |
-0,01% |
+2,09% |
- |
- |
- |
- |
|
|
Schroder International Selection Global Multi-Asset Income A1 Inc USD (USD) |
USD |
2016-12-30 |
90,32 |
90,32 |
0,00% |
+1,54% |
380,80 |
381,69 |
-0,23% |
+10,74% |
|
|
Schroder International Selection Wealth Preservation A Acc EUR (EUR) |
EUR |
2016-12-30 |
18,48 |
18,48 |
0,00% |
+15,93% |
81,55 |
81,55 |
+0,01% |
+20,55% |
|
|
Schroder International Selection Wealth Preservation A Inc EUR (EUR) |
EUR |
2016-12-30 |
12,20 |
12,20 |
0,00% |
+14,99% |
53,84 |
53,83 |
+0,01% |
+19,57% |
|
|
Schroder International Selection Wealth Preservation A1 Acc EUR (EUR) |
EUR |
2016-12-30 |
17,80 |
17,80 |
0,00% |
+15,36% |
78,55 |
78,55 |
+0,01% |
+19,96% |
|
|
Schroder International Selection Wealth Preservation A1 Acc USD (USD) |
USD |
2016-12-30 |
18,79 |
18,65 |
+0,75% |
+11,25% |
79,22 |
78,81 |
+0,51% |
+21,33% |
|
|
Schroder International Selection Wealth Preservation A1 Inc EUR (EUR) |
EUR |
2016-12-30 |
12,09 |
12,09 |
0,00% |
+14,38% |
53,35 |
53,35 |
+0,01% |
+18,94% |
|
|
Schroder International Selection Wealth Preservation A1 Inc USD (USD) |
USD |
2016-12-30 |
12,75 |
12,65 |
+0,79% |
+10,29% |
53,76 |
53,46 |
+0,55% |
+20,29% |
|
|
World Investments Opportunities Fund Conservative Risk 3% Portfolio A Inc EUR (EUR) |
EUR |
2016-12-30 |
2,07 |
2,05 |
+0,98% |
-3,27% |
9,14 |
9,05 |
+0,98% |
+0,58% |
|
|
World Investments Opportunities Fund Conservative Risk 3% Portfolio B Acc EUR (EUR) |
EUR |
2016-12-30 |
1,87 |
1,86 |
+0,54% |
-4,59% |
8,25 |
8,21 |
+0,55% |
-0,79% |
|
|
World Investments Opportunities Fund Global Strategy Alpha Portfolio A Acc USD (USD) |
USD |
2016-12-30 |
2,41 |
2,39 |
+0,84% |
-5,12% |
10,16 |
10,10 |
+0,60% |
+3,48% |
|
|
World Investments Opportunities Fund Global Strategy Alpha Portfolio B Acc USD (USD) |
USD |
2016-12-30 |
2,06 |
2,05 |
+0,49% |
-6,36% |
8,69 |
8,66 |
+0,25% |
+2,12% |
|