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World Funds

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Austria - Funds

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Condition

Frequency

Once
%

Frequency

Frequency

Delivery Method

Status

 NameSymbolLastChg. %Total AssetsTime
 LGT European Dynamic Portfolio T0P0001.177.760+0.61%20.39M16/05 

Belgium - Funds

 NameSymbolLastChg. %Total AssetsTime
 Metropolitan Rentastro Growth Classic0P0000.313.970+0.74%1.2B15/05 
 BNP Paribas B Pension GrowthLP6511.202.900+0.74%882.1M15/05 
 DPAM INVEST B Balanced Dynamic Growth A Distributi0P0000.75.530+0.90%680.46M15/05 
 DPAM INVEST B Balanced Dynamic Growth B Capitalisa0P0000.96.240+0.89%680.46M15/05 
 C+F Balanced Dynamic Classic Acc0P0000.9,641.350+0.51%7.77M15/05 
 C+F Balanced Dynamic Classic Inc0P0000.9,222.700+0.51%7.77M15/05 

Finland - Funds

 NameSymbolLastChg. %Total AssetsTime
 Nordea Hållbarhetsfond Avkastning growth (SEK)0P0001.123.947+0.16%801.16M16/05 
 Nordea Hållbarhetsfond Avkastning distribution (SE0P0001.119.310+0.16%801.16M16/05 
 Taaleri Courageous Owner A0P0001.171.634+0.38%22.06M15/05 

France - Funds

 NameSymbolLastChg. %Total AssetsTime
 Afer-Sfer0P0000.80.750+0.50%5.16B15/05 
 Objectif Patrimoine Croissance0P0000.538.900+0.36%769.85M15/05 
 Amundi Opportunitֳ©s ESR F0P0000.46.150+0.61%534.63M15/05 
 CM-CIC Dynamique Europe C0P0000.54.040+0.24%240.95M14/05 
 Prepar Croissance D0P0000.80.610+0.37%224.1M15/05 
 CIPEC International Dynamique0P0000.883.950+0.12%44.7M14/05 
 PEA Profile Dynamique C0P0001.117.620+0.23%44.28M14/05 
 Hévéa Dynamique C0P0000.326.030+0.61%42.13M15/05 
 Le Portefeuille Diversifié P0P0000.105.260+0.09%33.5M15/05 
 Patrival Dynamique0P0000.4,116.190+1.51%30.11M10/05 
 Intervalor D0P0000.381.300+0.98%29M15/05 
 Intervalor C0P0000.451.320+0.98%29M15/05 
 Florissime Dynamisme0P0000.206.170+0.72%28.01M15/05 
 Objectif Placements Actions0P0000.143.710+0.10%25.55M15/05 
 Palatine Allégro0P0000.494.370+0.27%22.03M14/05 
 Gestion Privée Planète0P0000.157.930+3.44%15.96M14/05 
 Prado Croissance0P0000.193.090+0.35%11.6M15/05 
 Objectif Gestion Sélective0P0000.2,706.360+0.45%11.6M15/05 
 PEA Profile Offensif Responsable C0P0001.125.610+0.29%11.64M14/05 
 Ségipa Avenir0P0000.922.200+1.32%7.75M14/05 

Germany - Funds

 NameSymbolLastChg. %Total AssetsTime
 Deka-BasisAnlage A100LP6815.238.890+0.37%1.52B16/05 
 Bethmann NachhaltigkeitDWS08XX181.580+0.58%604.46M15/05 
 RW Portfolio Strategie UI0P0000.193.200+0.44%297.06M15/05 
 Deka-PrivatVorsorge AS0P0000.97.270+0.26%254.6M16/05 
 DWS Vorsorge AS DynamikLP6003.165.040+0.59%216.99M16/05 
 Private Banking Vermogensportfolio Nachhaltig B PILP6509.73.860+0.57%177.37M16/05 
 Private Banking Vermögensportfolio Nachhaltig B PI0P0000.69.230+0.57%291.77M16/05 
 Private Banking Vermögensportfolio Nachhaltig B PI0P0000.71.550+0.58%266.41M16/05 
 Private Banking Vermögensportfolio Nachhaltig 70 A0P0000.67.890+0.56%2.18B16/05 
 DWS Vorsorge AS FlexLP6003.160.670+0.59%87.11M16/05 
 HippokratLP6005.80.670+0.50%85.99M16/05 
 HP&P Euro Select UI Fonds B0P0001.53.390+0.43%51.03M15/05 
 Warburg Classic Vermögensmanagement Fonds0P0000.25.910+0.62%69.62M16/05 
 UBS (D) Konzeptfonds Europe Plus0P0000.81.200+0.54%91.23M15/05 
 LBBW Zyklus Strategie I0P0000.62.290+0.31%53.56M15/05 
 LBBW Zyklus Strategie R0P0000.29.600+0.30%53.56M15/05 
 AM Fortune Fund Offensive B0P0000.1,565.370+0.47%40.59M15/05 
 AM Fortune Fund Offensive A0P0000.150.670+0.47%40.59M15/05 
 HWG-FondsLP6003.561.280+0.31%40.08M15/05 
 Hansen & Heinrich Universal - Anteilklasse A0P0000.112.940+0.70%33.34M15/05 

Italy - Funds

 NameSymbolLastChg. %Total AssetsTime
 Eurizon Progetto Italia 70 PIR0P0001.8.069+0.49%423.04M15/05 
 Core Series - Core Target Allocation 100 (IV)0P0001.7.212+0.07%12.72M15/05 
 Azimut Previdenza Crescita0P0000.14.033+1.22%10/05 
 Azimut Previdenza Crescita C0P0001.14.359+1.23%10/05 

Liechtenstein - Funds

 NameSymbolLastChg. %Total AssetsTime
 Simplex European Select Acc0P0000.3,223.190-0.35%13.77M31/01 

Luxembourg - Funds

 NameSymbolLastChg. %Total AssetsTime
 DB Growth SAA EUR LC0P0001.115.500+0.32%838.37M16/05 
 AZ Fund 1 Dividend Premium A AZ Fund Inc0P0000.3.745+0.64%352.21M15/05 
 AZ Fund 1 Dividend Premium B AZ Fund Inc0P0000.3.722+0.62%352.21M15/05 
 Argenta Responsible Growth Fund0P0000.2,024.040+0.44%329.03M15/05 
 AZ Fund 1 - AZ Allocation - PIR Italian Excellence0P0001.5.908+0.44%201.82M15/05 
 Squad Capital - Squad Value A0P0000.585.180+0.37%175.63M16/05 
 Squad Capital - Squad Value B0P0000.568.680+0.36%175.63M16/05 
 Archea Fund Europe B10P0000.317.230+0.32%155.08M15/05 
 FU Fonds Multi Asset Fonds P0P0000.273.830+1.37%103.16M15/05 
 VR Premium Fonds Progressio0P0000.138.900+0.81%76.59M16/05 
 Secundus Aktien Fonds0P0000.202.280+0.46%51.96M15/05 
 Planetarium Fund - Alpha Flex A EUR0P0000.335.660+2.31%43.56M10/05 
 Planetarium Fund - Flex 100 A EUR0P0000.273.650+0.38%36.23M16/05 
 VM - Manufakturfonds 10P0000.170.060+0.15%21.72M16/05 
 Planetarium Fund Flex 70 A EUR0P0000.204.700+0.39%25.78M16/05 

Netherlands - Funds

 NameSymbolLastChg. %Total AssetsTime
 Bright New World0P0000.139.238+0.08%15/05 

Spain - Funds

 NameSymbolLastChg. %Total AssetsTime
 Ibercaja Seleccion Capital FI147197.11.63-0.03%480.63M13/05 
 Fondmapfre Bolsa FI138901.36.01-0.09%228.65M14/05 
 Grupo Inversor Falla SICAVS321217.75+0.14%104.44M14/05 
 Bankia Banca Privada Seleccion FI142343.18.11+0.04%87.01M13/05 
 BBVA Gestion Decidida FI113996.9.34+0.39%78.92M10/05 
 Cat Patrimonis Ord ShsLP6515.21.37+0.30%59.88M15/05 
 Bestinver Mixto FI114664.38.69+0.61%57.63M15/05 
 Bona-Renda FI115091.15.52+0.78%45.51M15/05 
 Unifond Mixto Renta Variable FI138666.80.17+0.04%25.47M14/05 
 Gredos Bolsa Euro FI0P0001.1.1440%18.03M14/05 
 Caja Ingenieros Renta FI114986.14.73+0.91%16.35M15/05 
 Garadasa SIM SICAVS110729.92+0.35%16.18M15/05 
 Patrisa FI168812.29.16+0.37%15.14M15/05 
 GVC Gaesco Crossover Fundaquant 75 RVME P FI0P0001.11.811+0.12%8.46M14/05 
 GVC Gaesco Crossover Fundaquant 75 RVME A FI0P0001.11.727+0.12%8.46M14/05 
 GVC Gaesco Crossover Fundaquant 75 RVME E FI0P0001.11.925+0.13%8.46M14/05 
 GVC Gaesco Crossover Fundaquant 75 RVME I FI0P0001.11.896+0.12%8.46M14/05 
 Invertres Fondo I FI156038.18.31+0.12%7.73M13/05 
 Gesiuris Euro Equities FI116829.32.15+0.27%6.83M15/05 
 GVC Gaesco Cros - Glb Mo RV Zon Eur A FI0P0001.12.767+0.16%4.45M14/05 
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