Look for:

Our offer for

Performance overview

Select your Criteria
Fund Company
Type of Fund
Currency

Page 3 of 5
<<
<
>
>>

88 found

Name  
ISIN
Investment
Company  
Currency  YTD
%
6m
%
1Y
(% p.a.)
3Y
(% p.a.)
5Y
(% p.a.)
since inc.
(% p.a.)
Report date
ERSTE STOCK REAL ESTATE VT
AT0000A36G11
Erste Asset Management GmbHCZK15.94-28.23--23.492024/09/30
ERSTE STOCK ISTANBUL VT
AT0000494885
Erste Asset Management GmbHCZK23.34-5.8610.7329.171.112024/09/30
ERSTE STOCK ISTANBUL VT
AT0000494893
Erste Asset Management GmbHEUR21.27-2.5311.3629.802.082024/09/30
Sporoinvest
CZ0008472271
Erste Asset Management GmbH, pobočka Česká republikaCZK3.682.305.454.402.622.692024/10/10
Sporoinvest PLUS
CZ0008475225
Erste Asset Management GmbH, pobočka Česká republikaCZK4.002.505.924.78-2.992024/10/10
ČS korporátní dluhopisový
CZ0008472230
Erste Asset Management GmbH, pobočka Česká republikaCZK3.672.777.841.161.272.222024/10/10
Sporobond
CZ0008472263
Erste Asset Management GmbH, pobočka Česká republikaCZK2.873.108.311.610.673.362024/10/10
Trendbond
CZ0008472297
Erste Asset Management GmbH, pobočka Česká republikaCZK2.902.449.23-2.39-3.580.262024/10/10
Konzervativní Mix
CZ0008472321
Erste Asset Management GmbH, pobočka Česká republikaCZK4.743.039.413.582.821.592024/10/10
Vyvážený Mix
CZ0008472339
Erste Asset Management GmbH, pobočka Česká republikaCZK6.323.9413.783.273.662.062024/10/10
High yield dluhopisový
CZ0008472412
Erste Asset Management GmbH, pobočka Česká republikaCZK3.353.038.973.142.342.732024/10/10
ESG MIX 10
CZ0008474327
Erste Asset Management GmbH, pobočka Česká republikaCZK4.182.589.042.822.211.392024/10/10
ESG MIX 30
CZ0008474335
Erste Asset Management GmbH, pobočka Česká republikaCZK6.133.9214.332.462.501.742024/10/10
MPF 10
CZ0008474558
Erste Asset Management GmbH, pobočka Česká republikaCZK5.132.989.233.352.761.782024/10/10
OPTIMUM
CZ0008474814
Erste Asset Management GmbH, pobočka Česká republikaCZK5.133.2310.013.343.072.262024/10/10
Sporobond PLUS
CZ0008475233
Erste Asset Management GmbH, pobočka Česká republikaCZK3.263.359.182.22-1.322024/10/10
High yield dluhopisový PLUS
CZ0008475241
Erste Asset Management GmbH, pobočka Česká republikaCZK4.043.469.895.25-3.952024/10/10
ČS korporátní dluhopisový PLUS
CZ0008475258
Erste Asset Management GmbH, pobočka Česká republikaCZK4.293.1724.807.17-5.102024/10/10
Universum
CZ0008475688
Erste Asset Management GmbH, pobočka Česká republikaCZK5.473.1510.623.462.983.042024/10/10
Konzervativní Mix DIP
CZ0008478245
Erste Asset Management GmbH, pobočka Česká republikaCZK-3.08---4.962024/10/10


Decline
Accept

We use cookies and web analysis software to give you the best possible experience on our website. If you consent, these tools will be used. Please read more information here

INFORMATION FOR PRIVATE CLIENTS / CONSUMERS

Any information, material and services regarding financial instruments and securities provided by Česká spořitelna/Erste Group/ or any of its affiliates (collectively “Erste Group“) on this and any linked website hereafter (jointly the “Websites“) shall be exclusively to investors who are not subject to any legal sale or purchase restrictions.

By agreeing to this hereto, the visitor entering this Websites confirms that has read, understood and accepted this Information and the Disclaimer