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आयरलैंड - फंड

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आवृत्ति

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स्थिति

 नामचिन्हआखिरीचेंज %कुल संपतियांसमय
 Mercer Global Dynamic Multi Asset Fund A4 0.1000 J0P0001.11,939.460+0.09%5.98B08/05 
 Mediolanum Best Brands Financial Income Strategy L0P0001.6.871+0.62%1.31B07/05 
 Mercer Investment Fund 4 Class M-2ֲ£ Acc0P0001.82.160+0.24%1.05B08/05 
 Mercer Investment Fund 3 M-2ֲ£0P0001.97.370+0.28%1.02B08/05 
 Trojan Feeder Fund (Ireland) O SGD Acc0P0001.1.698+0.12%575.61M09/05 
 Mercer Dynamic Asset Allocation Fund Class A15-H-00P0001.106.570+0.13%770.42M08/05 
 Mercer Dynamic Asset Allocation Fund Class A11-H-00P0001.107.460+0.13%770.42M08/05 
 Mercer Dynamic Asset Allocation Fund Class A15-H-00P0001.111.630+0.13%676.12M08/05 
 Mercer Dynamic Asset Allocation Fund Class A20-H-00P0001.109.390+0.13%676.12M08/05 
 Mercer Dynamic Asset Allocation Fund Class A11-H-00P0001.112.720+0.13%676.12M08/05 
 Mercer Dynamic Asset Allocation Fund Class A17-H-00P0001.105.510+0.13%676.12M08/05 
 Mercer Investment Fund 15 Class M-1 SGD0P0001.94.241-0.04%464.94M26/01 
 Mercer Investment Fund 7 M-4ֲ£ Acc0P0001.17.030+0.59%313.19M08/05 
 Mercer QIF CCF - Mercer Investment Fund 19 A1-0.330P0001.83.590+0.22%288.88M08/05 
 Mercer Synthetic Equity-Linked Nominal Bond Fund M0P0001.78.030+0.13%283.67M08/05 
 FAM Sustainable Target 20220P0001.115.780+0.63%36.83M07/05 
 FAM MegaTrends Target 2022 II Class L EUR Accumula0P0001.98.269+0.59%36.66M07/05 
 Mercer Synthetic Equity-Linked Nominal Bond Fund M0P0001.61.310+0.13%28.37M08/05 
 FAM MegaTrends Target 20250P0001.100.299+0.53%24.94M07/05 
 Mercer Synthetic Equity-Linked Real Bond Fund Clas0P0001.67.360+0.27%39.88K08/05 

इजराइल - फंड

 नामचिन्हआखिरीचेंज %कुल संपतियांसमय
 Yelin Lapidot 90/10 Overseas0P0001.124.280+0.43%573.07M08/05 
 Meitav 90/10 Glbl Portf Forex Protectd!0P0001.120.290-0.07%272.43M08/05 
 More 90/10 Global Portfolio0P0001.122.760+0.33%204.18M08/05 
 Tamir Fishman Global Bond Floating Rate0P0001.120.760+0.47%124.68M08/05 
 Excellence Global Bond Forex Hedged0P0001.104.1-0.07%102.64M08/05 
 Yelin Lapidot 90/10Glbl Bd Prtf Frx Pctd0P0001.109.450+0.28%29.58M08/05 
 Azimuth Investments0P0000.172.990+0.35%29.17M08/05 

इटली - फंड

 नामचिन्हआखिरीचेंज %कुल संपतियांसमय
 Eurizon Global Leaders ESG 50 Luglio 2026 D0P0001.4.853-0.04%667.44M08/05 
 Anima Investimento Clean Energy 20260P0001.4.710+0.83%604.49M03/05 
 Anima Investimento AgriTech 20260P0001.4.635+0.43%494.21M03/05 
 Anima Investimento Cyber Security & Big Data 20270P0001.5.074+0.14%482.77M03/05 
 BancoPosta Orizzonte Reddito A0P0001.5.408+0.24%341.32M08/05 
 BancoPosta Orizzonte Reddito D0P0001.4.904+0.25%341.32M08/05 
 Anima Investimento Robotica&Intelligenza Artificia0P0001.4.856-0.02%274.49M03/05 
 Eurizon Global Trends 40 - Dicembre 20240P0001.5.323+0.26%240.68M08/05 
 Arca Multi-Strategy Prudente 2026 V F0P0001.4.7370%233.49M08/05 
 Arca Opportunità Green 2026 R0P0001.4.8010%205.76M08/05 
 Arca Opportunità Green 2026 II R0P0001.4.7580%161.32M08/05 
 Eurizon Global Dividend ESG 50 - Luglio 2025 A0P0001.5.224+0.08%151.51M08/05 
 Euromobiliare Progetto 2021 Atto II A0P0001.5.675+0.09%139.97M08/05 
 Amundi Accumulazione Digital & Cyber Security 20260P0001.5.269-0.21%123.36M08/05 
 Arca Opportunitֳ  Sostenibili 2025 IV R0P0001.4.864-0.02%118.26M08/05 
 Anima Patrimonio Globale & Clean Energy 20240P0001.4.806+0.44%111.39M03/05 
 Anima Traguardo 2024 Flex0P0001.5.090+0.22%111.24M03/05 
 Amundi Accumulazione Trends & LifeStyle 20260P0001.4.791-0.02%104.27M08/05 
 BancoPosta Focus Rilancio 20260P0001.4.794+0.04%101.42M08/05 
 Eurizon Recovery Leaders ESG 40 Dicembre 2025 A0P0001.5.0490%97.21M08/05 

ग्रीस - फंड

 नामचिन्हआखिरीचेंज %कुल संपतियांसमय
 3K Balanced Fund (Retail Share Class)0P0001.6.276-0.00%4.75M29/03 

जर्मनी - फंड

 नामचिन्हआखिरीचेंज %कुल संपतियांसमय
 Bremenkapital Zertifikate0P0000.40.450-0.22%77.93M08/05 
 Deka-PB Defensiv0P0000.113.880+0.05%72.23M08/05 
 Deka-DeepDiscount 2y0P0000.140.350+0.05%21.91M08/05 
 Deka-DeepDiscount 2y (III)0P0000.146.670+0.05%16.16M08/05 
 FFPB Substanz0P0000.6.820+0.29%7.69M08/05 

जापान - फंड

 नामचिन्हआखिरीचेंज %कुल संपतियांसमय
 Schroder Selection Euro Series Euro Balanced JPY A0P0000.2,028.964+0.18%21.34M09/05 

दक्षिण अफ्रीका - फंड

 नामचिन्हआखिरीचेंज %कुल संपतियांसमय
 Discovery Target Retirement 2040 Fund A0P0000.2.151-0.19%2B09/05 
 Discovery Target Retirement 2035 Fund A0P0000.2.241-0.21%1.88B09/05 
 Discovery Target Retirement 2045 Fund A0P0000.2.172-0.18%1.71B09/05 
 Discovery Target Retirement 2030 Fund A0P0000.2.219-0.19%1.49B09/05 
 Discovery Target Retirement 2050 Fund A0P0001.1.393-0.19%1.13B09/05 
 Citadel SA Protected Equity H4 Fund B10P0001.13.288+0.09%1.03B08/05 
 Discovery Target Retirement 2025 Fund A0P0000.2.220-0.20%923.06M09/05 
 Discovery Target Retirement 2020 Fund A0P0000.2.151-0.21%295.73M09/05 
 Discovery Target Retirement 2015 Fund B0P0000.1.958+0.25%104.42M27/10 
 Discovery Target Retirement 2015 Fund A0P0000.2.132-0.22%66.25M09/05 

पुर्तगाल - फंड

 नामचिन्हआखिरीचेंज %कुल संपतियांसमय
 BPI Brasil - Fundo de Investimento Aberto Flexֳ­ve0P0000.10.658+0.04%14.13M08/05 

पोलैंड - फंड

 नामचिन्हआखिरीचेंज %कुल संपतियांसमय
 Pioneer SFIO Elastycznego Inwestowania0P0000.15.010-0.07%581.7M21/12 
 Pekao Zrównoważony Rynku Amerykańskiego0P0000.68.770-0.26%188.95M21/12 
 MetLife Akcji Europy Srodkowej i Wschodniej A0P0000.10.510-0.19%47.37M11/10 
 MetLife Akcji Europy Srodkowej i Wschodniej I0P0000.10.520-0.09%47.37M11/10 
 Amplico Sub Akcji Nowa Europa A0P0000.7.420+0.27%40.15M11/10 
 Amplico Sub Malych Spólek A0P0000.10.400-0.38%24.43M11/10 
 Amplico Sub Zrównowazony Azjatycki A0P0000.11.700-1.68%3.77M11/10 
 Arka Platinum Stabilny0P0000.71.520-0.29%24/02 
 Amplico FIO Aktywnej Alokacji A0P0000.8.040-0.37%11/10 
 Amplico FIO Aktywnej Alokacji I0P0000.8.040-0.50%11/10 

फिलीपींस - फंड

 नामचिन्हआखिरीचेंज %कुल संपतियांसमय
 BPI Balanced Fund0P0000.168.750-0.93%4.71B09/05 
 ALFM Growth Fund0P0000.216.200-1.75%4.32B09/05 
 Metro Capital Growth Fund0P0000.3.301-0.12%1.04B07/05 
 UnionBank Peso Balanced Portfolio0P0001.143.803+0.50%727.38M08/05 
 BDO Balanced Fund0P0000.3,452.866-0.96%09/05 
 Odyssey Diversified Balanced Fund0P0000.200.220-0.73%09/05 
 Sun Life Of Canada Prosperity Balanced Fund A0P0000.3.579-0.68%29/10 
 First Metro Save and Learn Balanced Fund0P0000.2.650-0.97%02/11 
 Rizal Balanced Fund0P0000.2.063-0.96%09/05 
 MFCP Kabuhayan Fund0P0000.2.221-0.51%02/11 
 PAMI Horizon Fund0P0000.3.689-0.80%02/11 
 Philam Fund0P0000.16.524-0.79%02/11 
 Sun Life Prosperity Dollar Advantage Fund A0P0000.3.951-0.74%23/02 
 PNB Mabuhay Prestige0P0000.1.402-0.72%09/05 
 Odyssey Diversified Capital Fund0P0000.189.830-0.48%09/05 

फ्रांस - फंड

 नामचिन्हआखिरीचेंज %कुल संपतियांसमय
 Agipi Immobilier0P0001.131.610+0.14%195.03M06/05 

बरमूडा - फंड

 नामचिन्हआखिरीचेंज %कुल संपतियांसमय
 Butterfield Bermuda ALP6000.45.200+0.04%14.65M01/05 

माल्टा - फंड

 नामचिन्हआखिरीचेंज %कुल संपतियांसमय
 APS Income Fund AccumulationLP6827.175.459-0.49%61.31M08/05 
 APS Income Fund DistributionLP6827.108.522-0.49%61.31M08/05 

यूनाइटेड किंगडम - फंड

 नामचिन्हआखिरीचेंज %कुल संपतियांसमय
 VT RM Alternative Income Fund Retail GBP Accumulat0P0001.1.184+0.17%227.12M09/05 
 VT RM Alternative Income Fund Institutional GBP In0P0001.0.872+0.16%227.12M09/05 
 The Windrush Inc0P0000.22.88+0.24%13.09M30/04 
 CF Buxton Acc0P0000.41.37+1.16%11.12M08/05 
 CF Buxton Inc0P0000.29.63+1.16%11.12M08/05 

लक्समबर्ग - फंड

 नामचिन्हआखिरीचेंज %कुल संपतियांसमय
 Fidelity Funds Global Multi Asset Income Fund A 0P0001.4,249.000+0.19%3,191.71B09/05 
 Allianz Global Investors Fund - Allianz Dynamic Mu0P0001.43,780.040+0.06%801.39B08/05 
 Allianz Global Investors Fund Allianz Income and0P0000.6.863-0.12%325.17B08/05 
 Allianz Global Investors Fund Allianz Income and0P0001.10.624-0.11%323.88B08/05 
 Fidelity Funds Global Multi Asset Income Fund A 0P0001.1,161.000+0.17%216.97B09/05 
 JPMorgan Investment Funds Global Income Fund A (0P0001.7.130+0.14%137.77B09/05 
 JPMorgan Investment Funds Global Income Fund C (0P0001.8.090+0.12%137.77B09/05 
 BlackRock Global Funds Global Allocation Fund A20P0001.170.770-0.29%101.9B08/05 
 Allianz Global Investors Fund - Allianz Income and0P0000.7.563-0.14%62.48B08/05 
 NN (L) First Class Multi Asset I Dis(HY) JPY (he0P0001.8,941.031+0.05%57.02B09/05 
 JPMorgan Investment Funds - Global Income Fund A (0P0000.13.780+0.07%25.13B09/05 
 AB FCP I All Market Income Portfolio AD ZAR H In0P0001.55.960-0.07%22.39B08/05 
 UBS (Lux) Strategy Fund Growth (USD) (JPY hedged0P0001.13,119.000+0.09%20.26B08/05 
 Fidelity Funds - Global Multi Asset Income Fund A-0P0001.0.781+0.13%13.95B09/05 
 JPMorgan Funds Asia Pacific Income Fund A (irc) 0P0001.8.6000.00%10.75B09/05 
 JPMorgan Funds Asia Pacific Income Fund C (irc) 0P0001.9.2500%10.75B09/05 
 Invesco Funds Invesco Pan European High Income F0P0001.8.420+0.36%10.6B08/05 
 Invesco Funds Invesco Pan European High Income F0P0001.8.200+0.24%9.63B08/05 
 Invesco Funds Invesco Pan European High Income F0P0001.8.680+0.35%8.4B08/05 
 First Eagle Amundi International Fund Class AHS C 0P0001.152.790-0.12%7.54B08/05 

स्पेन - फंड

 नामचिन्हआखिरीचेंज %कुल संपतियांसमय
 GESPRISA INVERSIONES, SICAV, SA0P0000.33.936+0.09%1.34B08/05 
 SOIXA, SICAV, SA0P0000.163.091+0.33%482.26M07/05 
 RENTABILIDAD 2009, SICAV, SA0P0000.34.790+0.28%161.57M08/05 
 GUNToN DE INVERSIONES SICAV, SA0P0000.19.858+0.51%149.38M07/05 
 ALTAIS INVEST SICAV SA0P0000.14.7420%145.44M18/10 
 BOYSEP INVESTMENT SICAV SA0P0000.20.338+0.53%137.24M07/05 
 DP Fonseleccion FI0P0000.3.885+0.07%131.25M07/05 
 INVERSIONES ECHEMU, SICAV, SA0P0000.28.074+0.72%123.15M07/05 
 INVERSIONES NAIRA, SICAV, SA0P0000.2.757+0.51%121.42M07/05 
 NIEVA DE INVERSIONES MOBILIARIAS SICAV SA0P0000.13.619+0.48%110.69M07/05 
 AZKARAN INVERSIONES, SICAV, SA0P0000.1.057-0.02%102.77M29/09 
 MANFREHASQUE SICAV SA0P0000.55.255+2.98%100.38M30/04 
 1948 INVERSIONS, SICAV SA0P0000.36.713-0.12%98.64M08/05 
 PLATINO FINANCIERA SICAV SA0P0000.1.343+0.36%91.87M07/05 
 CARFY, SICAV SA0P0000.99.262-0.05%88.67M08/05 
 RHO INVESTMENTS, SIL, SA0P0000.39.854+0.88%88.26M03/05 
 CARTERA KEFREN, SICAV, SA0P0000.1.952+2.39%87.87M07/07 
 EURO 21 DE INVERSIONES SICAV SA0P0000.8.232+0.17%80.82M07/05 
 INVERSIONES TEIDE, SA SICAV0P0000.33.862+0.58%80.67M07/05 
 HERCASOL, SA, SICAV0P0000.24.175+0.61%80.33M07/05 
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