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Performance
Anleihefonds ISIN Performance per 22.11.2017
2017 1 Jahr 3 Jahre (p.a.) 5 Jahre (p.a.) 10 Jahre (p.a.)
3 Banken Emerging Market Bond-Mix (R) (T)
AT0000753173
3,84%
4,40%
2,56%
1,24%
3,89%
3 Banken Euro Bond-Mix (R) (A)
AT0000856323
1,54%
1,98%
1,39%
2,64%
3,65%
3 Banken Euro Bond-Mix (R) (T)
AT0000679444
1,49%
1,95%
1,40%
2,66%
3,65%
3 Banken Europa Bond-Mix (R) (A)
AT0000986344
-0,12%
0,72%
0,83%
1,58%
3,28%
3 Banken Inflationsschutzfonds
AT0000A015A0
1,27%
2,89%
1,32%
1,78%
3,10%
3 Banken Long Term Eurobond-Mix (R) (A)
AT0000760731
0,95%
1,41%
1,79%
4,06%
5,94%
3 Banken Long Term Eurobond-Mix (R) (T)
AT0000760749
0,99%
1,49%
1,83%
4,06%
5,95%
3 Banken Short Term Eurobond-Mix
AT0000838602
-0,29%
0,14%
0,14%
0,32%
1,66%
3 Banken Staatsanleihen-Fonds
AT0000615364
0,05%
1,12%
0,82%
1,48%
3,59%
3 Banken Unternehmensanleihen-Fonds (R) (A)
AT0000A0A036
3,15%
4,01%
2,66%
3,64%
3 Banken Unternehmensanleihen-Fonds (R) (T)
AT0000A0A044
3,12%
3,99%
2,68%
3,64%
3 Banken Währungsfonds (R) (A)
AT0000A08SF9
-2,59%
-1,28%
0,85%
1,37%
3 Banken Währungsfonds (R) (T)
AT0000A08AA8
-2,58%
-1,27%
0,88%
1,39%
Aktienfonds ISIN Performance per 22.11.2017
2017 1 Jahr 3 Jahre (p.a.) 5 Jahre (p.a.) 10 Jahre (p.a.)
3 Banken Amerika Stock-Mix
AT0000712591
14,75%
15,54%
7,31%
11,87%
5,56%
3 Banken Dividend Stock-Mix
AT0000600689
2,60%
5,75%
5,91%
8,99%
3,44%
3 Banken Dividenden-Aktienstrategie (R) (A)
AT0000A0XHJ8
4,84%
8,35%
4,65%
3 Banken Europa Stock-Mix (R) (T)
AT0000801014
8,88%
15,88%
7,18%
10,41%
2,59%
3 Banken Global Stock-Mix
AT0000950449
6,69%
10,41%
5,96%
11,78%
3,74%
3 Banken Nachhaltigkeitsfonds (R) (T)
AT0000701156
6,53%
8,88%
4,61%
8,85%
3,17%
3 Banken Österreich-Fonds (R) (A)
AT0000662275
36,63%
42,59%
20,14%
14,56%
4,36%
3 Banken Sachwerte-Aktienstrategie (R) (T)
AT0000A0S8Z4
1,07%
0,46%
6,42%
6,01%
3 Banken Value-Aktienstrategie (R) (T)
AT0000VALUE6
7,52%
10,22%
4,94%
12,24%
Generali EURO Stock-Selection (R) (A)
AT0000810528
9,04%
16,09%
8,19%
10,26%
1,51%
Generali EURO Stock-Selection (R) (T)
AT0000810536
8,98%
16,11%
8,22%
10,26%
1,51%
Dachfonds ISIN Performance per 22.11.2017
2017 1 Jahr 3 Jahre (p.a.) 5 Jahre (p.a.) 10 Jahre (p.a.)
3 Banken Aktien-Dachfonds
AT0000784830
11,11%
14,36%
7,26%
11,76%
4,79%
3 Banken Emerging-Mix
AT0000818489
18,20%
20,50%
7,35%
5,28%
2,10%
3 Banken European Top-Mix
AT0000711577
17,25%
21,82%
8,04%
7,96%
1,50%
3 Banken Renten-Dachfonds (R) (A)
AT0000637863
1,90%
2,82%
1,82%
2,97%
3,92%
3 Banken Renten-Dachfonds (R) (T)
AT0000744594
1,84%
2,76%
1,81%
2,95%
3,92%
3 Banken Strategie Dynamik
AT0000784863
1,78%
2,46%
3,49%
4,93%
3,24%
3 Banken Strategie Klassik
AT0000986351
0,91%
1,57%
2,32%
3,15%
3,36%
3 Banken Strategie Wachstum
AT0000784889
4,36%
7,59%
5,99%
10,84%
4,96%
Managementkonzepte ISIN Performance per 22.11.2017
2017 1 Jahr 3 Jahre (p.a.) 5 Jahre (p.a.) 10 Jahre (p.a.)
3 Banken Absolute Return-Mix (R) (A)
AT0000619044
0,58%
3,23%
3,48%
2,36%
1,03%
3 Banken Absolute Return-Mix (R) (T)
AT0000619051
0,61%
3,27%
3,47%
2,36%
1,03%
3 Banken Immo-Strategie
AT0000A07HD9
11,21%
18,01%
7,45%
10,31%
4,71%
3 Banken Portfolio-Mix (R) (A)
AT0000817838
4,56%
6,40%
3,44%
5,48%
2,73%
3 Banken Portfolio-Mix (R) (T)
AT0000654595
4,73%
6,46%
3,41%
5,49%
2,73%
3 Banken Sachwerte-Fonds
AT0000A0ENV1
1,24%
0,99%
3,36%
1,43%
Best of 3 Banken-Fonds
AT0000A146V9
3,96%
6,30%
3,66%
Generali Vermögensaufbau-Fonds
AT0000A143T0
6,66%
8,70%
3,82%
Laufzeitenfonds ISIN Performance per 22.11.2017
2017 1 Jahr 3 Jahre (p.a.) 5 Jahre (p.a.) 10 Jahre (p.a.)
3 Banken Dividende+Nachhaltigkeit 2021 (R) (A)
AT3BDIV20210
4,41%
7,33%
3 Banken Dividende+Nachhaltigkeit 2022 (R) (A)
AT3BDIV20228
4,61%
6,41%
3 Banken Dividenden-Strategie 2021
ATDIVIDENDS0
6,78%
10,19%
3 Banken Mega-Trends 2023 (R) (T)
ATMEGATREND6
0,44%
1)
3 Banken Top-Rendite 2019
AT0000A10KC9
1,97%
2,77%
1,81%
3 Banken Top-Rendite 2019/2
AT0000A13EE2
2,16%
3,31%
2,32%
Spezialthemen ISIN Performance per 22.11.2017
2017 1 Jahr 3 Jahre (p.a.) 5 Jahre (p.a.) 10 Jahre (p.a.)
3 Banken KMU-Fonds
AT0000A06PJ1
3,10%
4,42%
2,80%
3,52%
2,70%
Oberbank Vermögensmanagement (R) (A)
AT0000A1ENY3
5,02%
6,64%
Oberbank Vermögensmanagement (R) (T)
AT0000A06NX7
5,02%
6,65%
2,97%
4,62%
3,13%
1) seit Fondsgründung 03.07.2017
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