Please wait…

Search Results (2.897 Result)

Name WKN Investment Company Currency Code Turnover Perf. 1M 1-Y Perf. % 3-Y Perf. % 5-Y Perf. % Volume (Mio.)
Amundi MSCI Europe UCITS ETF EUR C A A2H567 Amundi Luxembourg S.A. EUR 2,73 Mio. 0,94 - - -
Fidelity Funds - European Growth Fund A-ACC-Euro A0MU7V FIL Investment Management (Luxembourg) S.A EUR 213.333,36 0,01 5,95 5,28 47,52
Patriarch Classic TSI B HAFX6Q Hauck & Aufhäuser Fund Services S.A. EUR 102.110,00 1,60 9,20 38,76 - 71.38
hausInvest 980701 Commerz Real AG EUR 82.446,82 0,19 2,45 6,85 12,57 13424.39
Dirk Müller Premium Aktien R A111ZF WARBURG Invest Kapitalanlageges. mbH EUR 67.704,22 -0,24 8,55 1,72 - 68.37
Ethna-AKTIV - A 764930 ETHENEA Independent Investors S.A. EUR 50.284,00 -1,02 -0,78 -4,99 8,44 2973.98
DekaLux-Deutschland TF (A) 974587 Deka International S.A. EUR 49.913,00 0,00 5,20 7,62 48,21 605.08
Carmignac Patrimoine A EUR Acc A0DPW0 CARMIGNAC GESTION EUR 48.454,12 0,08 -2,24 -5,16 17,41 17032.43
ComStage Vermögensstrategie Defensiv UCITS ETF ETF702 Commerz Funds Solutions S.A. EUR 47.369,76 -0,37 - - -
FCP MEDICAL BioHealth-Trends EUR 941135 Hauck & Aufhäuser Fund Services S.A. EUR 39.320,49 1,51 37,91 27,49 157,31 72.98
Kapital Plus - A - EUR 847625 Allianz Global Investors GmbH EUR 38.144,92 0,27 1,63 4,89 28,04 3238.81
Pictet - Global Megatrend Selection-P dy EUR A0X8JZ Pictet Asset Management (Europe) S.A. EUR 36.163,65 -0,24 10,44 14,71 73,70 231.66
Templeton Global Total Return Fund A (Mdis) USD 812926 Franklin Templeton Investment Funds USD 35.707,50 1,82 -2,07 2,68 4,87 2867.99
UniImmo: Global 980555 Union Investment Real Estate GmbH EUR 35.257,54 0,20 0,73 5,99 12,29 3490.31
Fondak - A - EUR 847101 Allianz Global Investors GmbH EUR 32.563,82 -2,94 4,22 16,15 60,95 2095.39
UniImmo: Europa 980551 Union Investment Real Estate GmbH EUR 31.845,49 0,12 3,00 8,31 13,37 12237.18
HSBC GIF Brazil Equity AD A0DNSL HSBC Global Investment Funds SICAV USD 30.019,08 9,39 -3,14 11,55 -25,21 129.65
Morgan Stanley US Advantage Fund (USD) A A0HG5T Morgan Stanley Investment Management Limited USD 25.200,00 1,30 26,74 53,10 120,93 2139.95
MainFirst Global Equities Fund A A1KCCM MainFirst SICAV EUR 22.146,19 -1,22 17,93 51,24 127,56 94.34
DWS Rendite Optima Four Seasons A0F426 Deutsche Asset Management S.A. EUR 20.320,00 -0,03 -0,41 -0,65 -0,35 2800.04
Multi Units Luxembourg Lyxor EUROMTS 1-3Y Investment Grade (DR) UCITS ETF C-EUR LYX0XL Lyxor Asset Management S.A. EUR 20.188,33 0,21 - - -
HSBC GIF Brazil Equity AC A0DJ0P HSBC Global Investment Funds SICAV USD 20.010,96 9,50 -3,13 11,69 -25,15 162.3
MainFirst Germany Fund B A0RAJP MainFirst SICAV EUR 19.850,50 -2,59 7,15 42,26 - 108.3
Allianz Europe Equity Growth - AT - EUR A0KDMU Allianz Global Investors GmbH in Lux. EUR 19.141,50 0,61 7,36 11,78 62,27 1905.76
Siemens Global Growth 977265 Siemens Fonds Invest GmbH EUR 17.696,24 -1,02 10,58 38,48 108,62 92.57

The following Disclaimer and Information has been prepared by Voltabox AG (the “Issuer”) for the purpose of publishing THE securities prospectus by the issuer. Deutsche Boerse AG does not assume any responsibility for the content of the issuer`s Disclaimer and information.

 

Important Information


 

The information contained on the following web pages is directed only at persons who are resident of or domiciled in the Federal Republic of Germany (“Germany”) or the Grand Duchy of Luxembourg (“Luxembourg”). The following information does not constitute an offer to sell or a solicitation of an offer to buy or subscribe for any securities. No offer of securities of the Issuer is being, or will be, made to the public outside Germany and Luxembourg. The offer in Germany and Luxembourg is being made solely on the basis of the securities prospectus (including any amendments thereto) which has been approved by the German Bundesanstalt für Finanzdienstleistungsaufsicht (BaFin) and which has been published on the Issuer’s website. Any investment decision regarding the publicly offered securities of the Issuer should only be made on the basis of the securities prospectus. The securities prospectus is available free of charge from the Issuer (Artegastraße 1, 33129 Delbrück, Germany; Tel.: +49 (0)5250 9930-900; Fax: +49 (0)5250 9762-102) and on the Issuer’s website (www.voltabox.ag).



The information contained on the following web pages is not an offer of securities for sale or a solicitation of an offer to purchase securities in the United States of America (“United States”), Canada, Australia or Japan. The Issuer’s shares, and the securities offered in the course of the offer, have not been and will not be registered under the US Securities Act of 1933, as amended (“Securities Act”), or with any other securities regulatory authority of any state or other jurisdiction of the United States and may not be offered, sold or delivered within the United States except pursuant to an exemption from, or in a transaction not subject to, the registration requirements of the Securities Act and applicable state securities laws. The Issuer does not intend to register the offer or parts thereof in the United States or make an offer to the public in the United States, Canada, Australia or Japan.



The information contained on the following web pages is not for distribution to persons who are located in the United States, Canada, Australia or Japan or any other jurisdiction where the offer of the securities to the public is not taking place. Any violation of these restrictions may constitute a breach of the securities laws of these countries. The copying, forwarding or other transmission of the content of the following web pages is prohibited.

By clicking the "I AGREE" button below, you warrant that (i) you have read and accepted the foregoing information and restrictions in full and (ii) you are a resident of or domiciled in Germany or Luxembourg, and (iii) you agree not to distribute or forward the information contained on the following web pages to any person who is not a resident of or domiciled in Germany or Luxembourg.

 


We regret that, due to regulatory restrictions, we are unable to provide you with access to the following web pages.