Podielové fondy porovnania
Investovanie už nie je doménou horných desiatich tisíc. Sú tu podielové fondy.
Prinášame vám kompletný prehľad slovenských a zahraničných podielových fondov ponúkaných na našom trhu. V sekcii Porovnanie podielových fondov nájdete aktuálne kurzy podielových fondov, profily, rebríčky najlepších a najhorších podielových fondov, ale aj poradenstvo s výberom fondu. Vyberte si najvýkonnejší podielový fond na trhu.
Najväčší ročný rast
Podielový fond | Ročné výkonnosť |
AMUNDI CASH INSTITUTIONS SRI - I (C) – Amundi Asset... | 2,4 % |
AMUNDI CASH INSTITUTIONS SRI - S (C) – Amundi Asset... | 2,4 % |
Najväčší ročný prepad
Podielový fond | Ročné výkonnosť |
AMUNDI CASH INSTITUTIONS SRI - S (C) – Amundi Asset... | 2,4 % |
AMUNDI CASH INSTITUTIONS SRI - I (C) – Amundi Asset... | 2,4 % |
Názov fondu, ISIN:
Správca:
Kategórie fondu:
TER:
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Denominácia:
Dátum založenia od:
Riziko:
Podielové fondy | Kategória | Mena | TER | Riziko | Založenie | Výkonnosť | |||
---|---|---|---|---|---|---|---|---|---|
Rok | 3 roky | 5 rokov | |||||||
Accolade Industrial fond fondu, OPF (EUR) Conseq IS | EUR | 1,72 % | 6 | 29. 3. 2021 | 5,04 | 13,03 | - | ||
Accolade Industrial Fund B Dis (EUR) Accolade Fund SICAV | EUR | 1,23 % | 6 | 30. 9. 2014 | 7,17 | - | - | ||
Accolade Industrial Fund B2 Dis (EUR) Accolade Fund SICAV | EUR | 1,90 % | 6 | 31. 1. 2017 | 6,69 | 14,62 | 66,12 | ||
Accolade Industrial Fund D (EUR2) Accolade Fund SICAV | EUR | 1,90 % | 6 | 1. 7. 2021 | 6,69 | 14,62 | - | ||
Accolade Industrial Fund D Dis (EUR) Accolade Fund SICAV | EUR | 1,58 % | 6 | 1. 7. 2021 | 7,17 | - | - | ||
AFH - TECHNICAL BOND INVESTMENT - OE (C) Amundi Asset Management | Dluhopisový fond | EUR | 0,29 % | 28. 4. 2020 | 3,68 | 8,88 | 8,67 | ||
ALICO FCE Global Index EUR IAD Investments | EUR | 3,86 % | 4 | 20. 10. 2000 | -0,19 | 11,85 | - | ||
Allianz Best Styles Emerging Markets Equity (EUR) Allianz Global Investors | EUR | 1,95 % | 4 | 16. 10. 2015 | -0,16 | 8,78 | 42,22 | ||
Allianz Best Styles Global Equity (EUR) Allianz Global Investors | EUR | 1,36 % | 4 | 16. 12. 2015 | 7,61 | 32,88 | 83,19 | ||
Allianz Best Styles US Equity (EUR) Allianz Global Investors | EUR | 1,35 % | 4 | 6. 6. 2013 | 1,75 | 22,05 | 78,79 | ||
Allianz Best Styles US Equity hedged (EUR) Allianz Global Investors | EUR | 1,35 % | 4 | 6. 6. 2013 | 6,14 | 22,65 | 69,76 | ||
Allianz Capital Plus (EUR) Allianz Global Investors | Zmiešaný/Balancovaný fond | EUR | 1,20 % | 3 | 27. 10. 2015 | -0,65 | 1,24 | 7,28 | |
Allianz Dynamic Multi Asset Strategy 50 (EUR) Allianz Global Investors | Zmiešaný/Balancovaný fond | EUR | 1,75 % | 3 | 3. 9. 2014 | 0,59 | 4,71 | 32,81 | |
Allianz Europe Equity Growth Select (EUR) Allianz Global Investors | EUR | 1,85 % | 5 | 2. 5. 2013 | -9,79 | 0,14 | 34,61 | ||
Allianz European Equity Dividend (EUR) Allianz Global Investors | EUR | 1,86 % | 4 | 10. 3. 2009 | 7,91 | 29,17 | 59,45 | ||
Allianz German Equity (EUR) Allianz Global Investors | EUR | 1,86 % | 4 | 22. 10. 2012 | 14,45 | 27,05 | 50,33 | ||
Allianz Global Artificial Intelligence (EUR) Allianz Global Investors | EUR | 2,11 % | 5 | 2. 5. 2017 | -8,54 | 2,27 | 60,56 | ||
Allianz Global Artificial Intelligence hedged(EUR) Allianz Global Investors | EUR | 2,11 % | 6 | 31. 3. 2017 | -4,52 | 1,97 | 50,24 | ||
Allianz Global Multi-Asset Credit hedged (EUR) Allianz Global Investors | Dluhopisový fond | EUR | 1,15 % | 2 | 8. 11. 2016 | 4,75 | 7,74 | 8,99 | |
Allianz Global Small Cap Equity (EUR) Allianz Global Investors | EUR | 2,12 % | 4 | 13. 8. 2013 | -4,59 | 3,70 | 44,43 | ||
Allianz Income and Growth hedged (EUR) Allianz Global Investors | Zmiešaný/Balancovaný fond | EUR | 1,55 % | 4 | 12. 8. 2014 | 2,86 | 6,71 | 34,58 | |
Allianz Japan Equity (EUR) Allianz Global Investors | EUR | 1,89 % | 4 | 24. 8. 2015 | 1,41 | 19,48 | 40,37 | ||
Allianz Japan Equity hedged (EUR) Allianz Global Investors | EUR | 1,86 % | 4 | 24. 8. 2015 | -0,09 | 48,41 | 99,83 | ||
Allianz Thematica AT (EUR) Allianz Global Investors | EUR | 1,95 % | 4 | 2. 5. 2019 | -9,99 | -2,01 | 35,51 | ||
Allianz US High Yield hedged (EUR) Allianz Global Investors | Dluhopisový fond | EUR | 1,24 % | 3 | 31. 7. 2012 | 4,81 | 7,10 | 14,93 | |
Allianz US Short Duration High Inc. Bond hgd (EUR) Allianz Global Investors | Dluhopisový fond | EUR | 1,34 % | 2 | 8. 3. 2016 | 3,61 | 8,69 | 23,85 | |
AMSELECT AB US EQUITY GROWTH [CLASSIC EUR, C] BNP Paribas Asset Management | EUR | 1,64 % | 15. 12. 2022 | -0,38 | - | - | |||
AMSELECT AB US EQUITY GROWTH [CLASSIC EUR, D] BNP Paribas Asset Management | EUR | 1,64 % | 10. 2. 2023 | -0,72 | - | - | |||
AMSELECT AB US EQUITY GROWTH [CLASSIC RH EUR, C] BNP Paribas Asset Management | EUR | 1,64 % | 15. 12. 2022 | 4,25 | - | - | |||
AMSELECT AB US EQUITY GROWTH [PRIVILEGE EUR, C] BNP Paribas Asset Management | EUR | 0,93 % | 15. 12. 2022 | 0,32 | - | - | |||
AMSELECT AB US EQUITY GROWTH [PRIVILEGE EUR, D] BNP Paribas Asset Management | EUR | 0,93 % | 5. 7. 2023 | -0,05 | - | - | |||
AMSELECT AB US EQUITY GROWTH [PRIVILEGE RH EUR, C] BNP Paribas Asset Management | EUR | 0,93 % | 10. 2. 2023 | 4,80 | - | - | |||
AMSELECT ALLIANZ EURO CREDIT [CLASSIC, C] BNP Paribas Asset Management | Dluhopisový fond | EUR | 1,08 % | 8. 4. 2022 | 5,34 | 6,47 | - | ||
AMSELECT ALLIANZ EURO CREDIT [CLASSIC, D] BNP Paribas Asset Management | Dluhopisový fond | EUR | 1,08 % | 20. 6. 2022 | 1,88 | - | - | ||
AMSELECT ALLIANZ EURO CREDIT [I, C] BNP Paribas Asset Management | Dluhopisový fond | EUR | 0,47 % | 1. 2. 2022 | 5,98 | 8,52 | - | ||
AMSELECT ALLIANZ EURO CREDIT [PRIVILEGE, C] BNP Paribas Asset Management | Dluhopisový fond | EUR | 0,58 % | 7. 2. 2022 | 5,86 | 8,13 | - | ||
AMSELECT ALLIANZ EURO CREDIT [PRIVILEGE, D] BNP Paribas Asset Management | Dluhopisový fond | EUR | 0,58 % | 20. 6. 2022 | 2,26 | - | - | ||
AMSELECT ALLIANZ EUROPE EQUITY GROWTH [CLASSIC, C] BNP Paribas Asset Management | EUR | 1,75 % | 15. 7. 2021 | -9,37 | 0,77 | - | |||
AMSELECT ALLIANZ EUROPE EQUITY GROWTH [I, C] BNP Paribas Asset Management | EUR | 0,62 % | 24. 6. 2021 | -8,33 | 4,28 | - | |||
AMSELECT ALLIANZ EUROPE EQUITY GROWTH [PRIVILEGE, C] BNP Paribas Asset Management | EUR | 0,82 % | 15. 7. 2021 | -8,52 | 3,63 | - | |||
AMSELECT AMUNDI EUROPE EQUITY VALUE [CLASSIC, C] BNP Paribas Asset Management | EUR | 1,66 % | 15. 7. 2021 | 4,62 | 29,70 | - | |||
AMSELECT AMUNDI EUROPE EQUITY VALUE [CLASSIC, D] BNP Paribas Asset Management | EUR | 1,66 % | 15. 12. 2022 | -0,43 | - | - | |||
AMSELECT AMUNDI EUROPE EQUITY VALUE [I, C] BNP Paribas Asset Management | EUR | 0,54 % | 17. 6. 2021 | 5,80 | 34,19 | - | |||
AMSELECT AMUNDI EUROPE EQUITY VALUE [PRIVILEGE, C] BNP Paribas Asset Management | EUR | 0,56 % | 15. 7. 2021 | 5,79 | 34,09 | - | |||
AMSELECT AMUNDI US EQUITY [CLASSIC EUR, C] BNP Paribas Asset Management | EUR | 1,64 % | 22. 1. 2024 | -2,86 | - | - | |||
AMSELECT AMUNDI US EQUITY [CLASSIC RH EUR, C] BNP Paribas Asset Management | EUR | 1,64 % | 22. 1. 2024 | 1,60 | - | - | |||
AMSELECT AMUNDI US EQUITY [PRIVILEGE EUR, C] BNP Paribas Asset Management | EUR | 0,75 % | 22. 1. 2024 | -2,01 | - | - | |||
AMSELECT AMUNDI US EQUITY [PRIVILEGE RH EUR, C] BNP Paribas Asset Management | EUR | 0,75 % | 22. 1. 2024 | 2,34 | - | - | |||
AMSELECT BLACKROCK EURO EQUITY [CLASSIC, C] BNP Paribas Asset Management | EUR | 1,73 % | 15. 7. 2021 | 2,53 | 19,83 | - | |||
AMSELECT BLACKROCK EURO EQUITY [I, C] BNP Paribas Asset Management | EUR | 0,77 % | 24. 6. 2021 | 3,52 | 26,76 | - |