GS+ P Fonds Schwellenländer
Inhaber-Anteile R (auss.) o.N.
ISIN: LU0077884368WKN: 987063Währung: EUR
93,97 EUR
-1,61 %
-1,54
Börse:
Stand:
12.02.
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|---|---|---|---|---|
| Düsseldorf | 92,59EUR | 14:15 | ||
| Frankfurt | 92,62EUR | 14:40 | ||
| Hamburg | 93,58EUR | 08:09 | ||
| L&S | 92,79EUR | 15:26 | ||
| Quotrix | 94,12EUR | 07:27 | ||
| Stuttgart | 92,71EUR | 14:45 | ||
| München | 95,47EUR | 12.02. | ||
| Tradegate | 89,82EUR | 12.02. | ||
| EUR-Fonds | 93,97EUR | 12.02. |
Statistiken
| 7 Tage | 1 Monat | 6 Monate | 1 Jahr | 3 Jahre | 5 Jahre | |
|---|---|---|---|---|---|---|
| Performance [%] | +0,88 | +2,99 | -3,36 | +2,25 | +17,13 | +6,22 |
| Volatilität [%] | 24,10 | 20,50 | 15,31 | 17,26 | 14,29 | 14,98 |
| Sharpe-Ratio | 2,289 | 1,890 | -0,5893 | 0,1138 | 0,3195 | 0,0258 |
| Hoch | 95,51 | 95,51 | 102,95 | 102,95 | 102,95 | 102,95 |
| Tief | 92,87 | 91,24 | 88,48 | 80,57 | 76,33 | 64,59 |
| Hist. Kurs | 93,15 | 91,24 | 97,24 | 91,90 | 80,23 | 88,47 |
| ∅-Preis | 93,84 | 93,83 | 96,96 | 94,97 | 86,80 | 84,79 |
| ∅-Volumen | ||||||
| Max. Verlust [%] | -1,612 | -2,662 | -14,06 | -16,77 | -16,77 | -30,50 |
| Max. Verlustperiode (Handelstage) | 1 | 8 | 75 | 100 | 131 | 893 |
| Max. Verlustperiode (Kalendertage) | 3 | 12 | 140 | 149 | 190 | 1.326 |
Quotes
- Geld (12.02.)93,97
- Brief (12.02.)98,67
- Spread (in %)4,700 (5,00 %)
- Geld Stk.0
- Brief Stk.0
Kursdaten
- FondswährungEUR
- KurswährungEUR
- Datum12.02.2026
- Rücknahmepreis93,97
- Differenz abs.-1,540
- Differenz rel.-1,612 %
Kursdaten Vortag
- Vortag-Rücknahmepreis95,51
Stammdaten
- WertpapiertypAktienfonds
- ISINLU0077884368
- WKN987063
- HerkunftLuxemburg
- NotierungseinheitStück
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