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Name Valor Fondsgesellschaft Währ. 1Y % 3Y % 5Y % Vol. (Mio.)
Granahan Funds PLC - Granahan US SMID Select Fund A EUR Acc Fonds Granahan Investment Management Inc EUR -12.48 - - 7.81
Granahan Funds PLC - Granahan US SMID Select Fund A GBP Acc Fonds Granahan Investment Management Inc GBP -13.20 - - 7.81
Granahan Funds PLC - Granahan US SMID Select Fund A GBP Inc Fonds Granahan Investment Management Inc GBP - - - 7.81
Granahan Funds PLC - Granahan US SMID Select Fund I GBP Acc Fonds Granahan Investment Management Inc GBP -13.06 - - 7.81
Granahan Funds PLC - Granahan US SMID Select Fund I GBP Inc Fonds Granahan Investment Management Inc GBP -12.81 -22.55 - 7.81
Granahan Funds PLC - Granahan US SMID Select Fund I USD Acc Fonds Granahan Investment Management Inc USD -7.93 -16.97 - 7.81
Granahan Funds PLC - Granahan US SMID Select Fund I USD Inc Fonds Granahan Investment Management Inc USD -7.64 -16.70 - 7.81
Granahan US Focused Growth Fund A EUR Accumulation Fonds Granahan Investment Management Inc EUR 6.75 - - 194.8
Granahan US Focused Growth Fund A GBP Accumulation Fonds Granahan Investment Management Inc GBP 19.97 - - 194.8
Granahan US Focused Growth Fund A USD Accumulation Fonds 25547456 Granahan Investment Management Inc USD 26.92 19.87 71.14 194.8
Granahan US Focused Growth Fund A USD Distribution Fonds Granahan Investment Management Inc USD 26.91 19.87 71.14 194.8
Granahan US Focused Growth Fund F EUR Accumulation Fonds Granahan Investment Management Inc EUR 20.55 - - 194.8
Granahan US Focused Growth Fund F GBP Accumulation Fonds Granahan Investment Management Inc GBP - - - 194.8
Granahan US Focused Growth Fund I GBP Accumulation Fonds Granahan Investment Management Inc GBP 20.62 14.96 63.47 194.8
Granahan US Focused Growth Fund I USD Accumulation Fonds 41926625 Granahan Investment Management Inc USD 27.69 - - 194.8
Granahan US Focused Growth Fund I USD Distribution Fonds 41926829 Granahan Investment Management Inc USD 27.59 - - 194.8
Granahan US SMID Select A USD Acc Fonds Granahan Investment Management Inc USD -8.10 - - 7.81