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| Fidelity-Funds | Preis | Währung | Stand | + / - | + / - % | seit |
| America Fund EUR ACC | 10,210 | EUR | 06.07.2011 | 0,100 | 0,98% | 05.07.2011 |
| America Fund EUR | 3,684 | EUR | 06.07.2011 | 0,035 | 0,95% | 05.07.2011 |
| America Fund USD ACC | 11,460 | USD | 06.07.2011 | 0,000 | 0,00% | 05.07.2011 |
| America Fund USD | 5,278 | USD | 06.07.2011 | -0,002 | -0,04% | 05.07.2011 |
| American Diversified Fund EUR ACC | 9,593 | EUR | 06.07.2011 | 0,097 | 1,01% | 05.07.2011 |
| American Diversified Fund EUR | 11,250 | EUR | 06.07.2011 | 0,110 | 0,98% | 05.07.2011 |
| American Diversified Fund USD | 13,260 | USD | 06.07.2011 | 0,010 | 0,08% | 05.07.2011 |
| American Growth Fund EUR ACC | 8,365 | EUR | 06.07.2011 | 0,082 | 0,98% | 05.07.2011 |
| American Growth Fund USD ACC | 9,356 | USD | 06.07.2011 | 0,001 | 0,01% | 05.07.2011 |
| American Growth Fund | 24,770 | USD | 06.07.2011 | 0,000 | 0,00% | 05.07.2011 |
| Asia Pacific Property Fund EUR ACC | 7,592 | EUR | 06.07.2011 | 0,103 | 1,36% | 05.07.2011 |
| Asia Pacific Property Fund EUR | 7,208 | EUR | 06.07.2011 | 0,099 | 1,37% | 05.07.2011 |
| Asia Pacific Property Fund USD | 7,973 | USD | 06.07.2011 | 0,032 | 0,40% | 05.07.2011 |
| Asian High Yield Fund EUR | 11,060 | EUR | 06.07.2011 | 0,130 | 1,18% | 05.07.2011 |
| Asian High Yield Fund USD | 12,220 | USD | 06.07.2011 | 0,020 | 0,16% | 05.07.2011 |
| Asian Special Situations Fund ACC | 17,760 | USD | 06.07.2011 | -0,070 | -0,39% | 05.07.2011 |
| Asian Special Situations Fund | 33,950 | USD | 06.07.2011 | -0,140 | -0,41% | 05.07.2011 |
| Australia Fund ACC | 10,970 | AUD | 06.07.2011 | -0,040 | -0,36% | 05.07.2011 |
| Australia Fund | 41,210 | AUD | 06.07.2011 | -0,130 | -0,32% | 05.07.2011 |
| Australian Dollar Currency Fund | 34,627 | AUD | 06.07.2011 | 0,003 | 0,01% | 05.07.2011 |
| China Focus Fund EUR ACC | 9,221 | EUR | 06.07.2011 | 0,036 | 0,39% | 05.07.2011 |
| China Focus Fund | 46,490 | USD | 06.07.2011 | -0,270 | -0,58% | 05.07.2011 |
| EMEA Fund EUR ACC | 13,530 | EUR | 06.07.2011 | 0,110 | 0,81% | 05.07.2011 |
| EMEA Fund EUR | 13,410 | EUR | 06.07.2011 | 0,090 | 0,67% | 05.07.2011 |
| EMEA Fund USD ACC | 14,480 | USD | 06.07.2011 | -0,030 | -0,21% | 05.07.2011 |
| EMEA Fund USD | 14,350 | USD | 06.07.2011 | -0,040 | -0,28% | 05.07.2011 |
| EURO STOXX 50TM Fund | 8,624 | EUR | 06.07.2011 | -0,055 | -0,64% | 05.07.2011 |
| EURO STOXX 50™ Fund ACC | 8,505 | EUR | 06.07.2011 | -0,055 | -0,65% | 05.07.2011 |
| Emerging Market Debt Fd EUR ACC | 12,990 | EUR | 06.07.2011 | 0,120 | 0,92% | 05.07.2011 |
| Emerging Market Debt Fd USD ACC | 14,990 | USD | 06.07.2011 | -0,010 | -0,07% | 05.07.2011 |
| Emerging Market Debt Fund EUR | 10,190 | EUR | 06.07.2011 | 0,100 | 0,98% | 05.07.2011 |
| Emerging Market Debt Fund USD | 11,900 | USD | 06.07.2011 | 0,000 | 0,00% | 05.07.2011 |
| Emerging Markets Fund ACC | 14,650 | USD | 06.07.2011 | -0,070 | -0,48% | 05.07.2011 |
| Emerging Markets Fund | 22,160 | USD | 06.07.2011 | -0,110 | -0,50% | 05.07.2011 |
| Euro Balanced Fund ACC | 10,490 | EUR | 06.07.2011 | -0,020 | -0,19% | 05.07.2011 |
| Euro Balanced Fund | 12,920 | EUR | 06.07.2011 | -0,020 | -0,15% | 05.07.2011 |
| Euro Blue Chip Fund ACC | 9,793 | EUR | 06.07.2011 | -0,029 | -0,30% | 05.07.2011 |
| Euro Blue Chip Fund | 15,390 | EUR | 06.07.2011 | -0,050 | -0,32% | 05.07.2011 |
| Euro Bond Fund ACC | 11,480 | EUR | 06.07.2011 | 0,000 | 0,00% | 05.07.2011 |
| Euro Bond Fund | 11,300 | EUR | 06.07.2011 | 0,000 | 0,00% | 05.07.2011 |
| Euro Cash Fund ACC | 10,8547 | EUR | 06.07.2011 | 0,0001 | 0,00% | 05.07.2011 |
| Euro Cash Fund | 9,2775 | EUR | 06.07.2011 | 0,0001 | 0,00% | 05.07.2011 |
| Euro Currency Fund | 17,844 | EUR | 06.07.2011 | 0,000 | 0,00% | 05.07.2011 |
| European Aggressive Fund ACC | 6,799 | EUR | 06.07.2011 | -0,042 | -0,62% | 05.07.2011 |
| European Aggressive Fund | 12,370 | EUR | 06.07.2011 | -0,080 | -0,65% | 05.07.2011 |
| European Fund ACC | 9,977 | EUR | 06.07.2011 | -0,013 | -0,13% | 05.07.2011 |
| European Growth Fund EUR ACC | 7,966 | EUR | 06.07.2011 | -0,014 | -0,18% | 05.07.2011 |
| European Growth Fund | 10,110 | EUR | 06.07.2011 | -0,010 | -0,10% | 05.07.2011 |
| European High Yield Fund ACC | 13,830 | EUR | 06.07.2011 | -0,010 | -0,07% | 05.07.2011 |
| European High Yield Fund | 9,690 | EUR | 06.07.2011 | -0,004 | -0,04% | 05.07.2011 |
| European Larger Companies Fund ACC | 9,274 | EUR | 06.07.2011 | -0,010 | -0,11% | 05.07.2011 |
| European Larger Companies Fund | 29,050 | EUR | 06.07.2011 | -0,030 | -0,10% | 05.07.2011 |
| European Mid Cap Fund ACC | 11,120 | EUR | 06.07.2011 | 0,010 | 0,09% | 05.07.2011 |
| European Mid Cap Fund | 27,110 | EUR | 06.07.2011 | 0,010 | 0,04% | 05.07.2011 |
| European Smaller Companies Fund ACC | 11,380 | EUR | 06.07.2011 | 0,040 | 0,35% | 05.07.2011 |
| European Smaller Companies Fund | 27,270 | EUR | 06.07.2011 | 0,100 | 0,37% | 05.07.2011 |
| European Special Situations A-ACC-Euro | 10,030 | EUR | 06.07.2011 | -0,040 | -0,40% | 05.07.2011 |
| European Special Situations Fund A-Euro | 9,984 | EUR | 06.07.2011 | -0,036 | -0,36% | 05.07.2011 |
| FPS Global Growth Fund ACC | 10,640 | USD | 06.07.2011 | -0,030 | -0,28% | 05.07.2011 |
| FPS Global Growth Fund | 18,310 | USD | 06.07.2011 | -0,060 | -0,33% | 05.07.2011 |
| FPS Growth Fund ACC | 9,115 | EUR | 06.07.2011 | 0,035 | 0,38% | 05.07.2011 |
| FPS Growth Fund | 13,220 | EUR | 06.07.2011 | 0,050 | 0,38% | 05.07.2011 |
| FPS Moderate Growth Fund ACC | 10,170 | EUR | 06.07.2011 | 0,020 | 0,20% | 05.07.2011 |
| FPS Moderate Growth Fund | 9,376 | EUR | 06.07.2011 | 0,016 | 0,17% | 05.07.2011 |
| France Fund ACC | 10,110 | EUR | 06.07.2011 | -0,030 | -0,30% | 05.07.2011 |
| France Fund | 38,030 | EUR | 06.07.2011 | -0,110 | -0,29% | 05.07.2011 |
| Germany Fund ACC | 11,940 | EUR | 06.07.2011 | 0,010 | 0,08% | 05.07.2011 |
| Germany Fund | 29,600 | EUR | 06.07.2011 | 0,030 | 0,10% | 05.07.2011 |
| Global Consumer Industries Fund | 23,940 | EUR | 06.07.2011 | 0,210 | 0,88% | 05.07.2011 |
| Global Financial Services Fund | 17,240 | EUR | 06.07.2011 | 0,030 | 0,17% | 05.07.2011 |
| Global Focus Fund | 29,530 | EUR | 06.07.2011 | 0,260 | 0,88% | 05.07.2011 |
| Global Health Care Fund | 17,240 | EUR | 06.07.2011 | 0,220 | 1,28% | 05.07.2011 |
| Global Industrials Fund | 37,420 | EUR | 06.07.2011 | 0,180 | 0,48% | 05.07.2011 |
| Global Property Fund EUR ACC Hedged | 6,580 | EUR | 06.07.2011 | 0,024 | 0,36% | 05.07.2011 |
| Global Property Fund EUR ACC | 9,261 | EUR | 06.07.2011 | 0,109 | 1,18% | 05.07.2011 |
| Global Property Fund EUR | 8,831 | EUR | 06.07.2011 | 0,103 | 1,17% | 05.07.2011 |
| Global Property Fund USD ACC | 11,250 | USD | 06.07.2011 | 0,020 | 0,18% | 05.07.2011 |
| Global Property Fund USD | 10,770 | USD | 06.07.2011 | 0,020 | 0,19% | 05.07.2011 |
| Global Sector Fund EUR ACC | 10,180 | EUR | 06.07.2011 | 0,090 | 0,88% | 05.07.2011 |
| Global Sector Fund EUR | 10,190 | EUR | 06.07.2011 | 0,100 | 0,98% | 05.07.2011 |
| Global Sector Fund USD | 11,430 | USD | 06.07.2011 | -0,010 | -0,09% | 05.07.2011 |
| Global Technology Fund | 6,415 | EUR | 06.07.2011 | 0,075 | 1,17% | 05.07.2011 |
| Global Telecommunications Fund | 7,521 | EUR | 06.07.2011 | 0,026 | 0,35% | 05.07.2011 |
| Greater China Fund | 143,800 | USD | 06.07.2011 | -0,700 | -0,49% | 05.07.2011 |
| Growth and Income Fund ACC | 12,260 | USD | 06.07.2011 | -0,040 | -0,33% | 05.07.2011 |
| Growth and Income Fund | 16,570 | USD | 06.07.2011 | -0,050 | -0,30% | 05.07.2011 |
| Healthcare Fund ACC | 11,000 | EUR | 06.07.2011 | 0,140 | 1,27% | 05.07.2011 |
| Iberia Fund ACC | 10,070 | EUR | 06.07.2011 | -0,140 | -1,39% | 05.07.2011 |
| Iberia Fund | 45,130 | EUR | 06.07.2011 | -0,630 | -1,40% | 05.07.2011 |
| India Focus Fund EUR | 28,400 | EUR | 06.07.2011 | 0,210 | 0,74% | 05.07.2011 |
| India Focus Fund USD | 33,450 | USD | 06.07.2011 | -0,080 | -0,24% | 05.07.2011 |
| Indonesia Fund | 29,560 | USD | 06.07.2011 | -0,150 | -0,51% | 05.07.2011 |
| International Bond Fund ACC | 13,110 | USD | 06.07.2011 | -0,040 | -0,31% | 05.07.2011 |
| International Bond Fund | 1,300 | USD | 06.07.2011 | -0,005 | -0,38% | 05.07.2011 |
| International Fund EUR ACC | 9,529 | EUR | 06.07.2011 | 0,067 | 0,70% | 05.07.2011 |
| International Fund EUR | 24,440 | EUR | 06.07.2011 | 0,170 | 0,70% | 05.07.2011 |
| International Fund USD ACC | 10,730 | USD | 06.07.2011 | -0,040 | -0,37% | 05.07.2011 |
| International Fund USD | 35,010 | USD | 06.07.2011 | -0,110 | -0,31% | 05.07.2011 |
| Italy Fund | 25,520 | EUR | 06.07.2011 | -0,600 | -2,35% | 05.07.2011 |
| Japan Advantage Fund | 17924,000 | JPY | 06.07.2011 | 71,000 | 0,40% | 05.07.2011 |
| Japan Fund EUR ACC | 6,473 | EUR | 06.07.2011 | 0,125 | 1,93% | 05.07.2011 |
| Japan Fund EUR | 0,978 | EUR | 06.07.2011 | 0,019 | 1,94% | 05.07.2011 |
| Japan Fund JPY ACC | 498,900 | JPY | 06.07.2011 | 3,200 | 0,64% | 05.07.2011 |
| Japan Fund JPY | 113,900 | JPY | 06.07.2011 | 0,800 | 0,70% | 05.07.2011 |
| Japan Smaller Companies ACC | 618,700 | JPY | 06.07.2011 | 4,300 | 0,70% | 05.07.2011 |
| Japan Smaller Companies Fund | 962,400 | JPY | 06.07.2011 | 6,700 | 0,70% | 05.07.2011 |
| Korea Fund | 24,340 | USD | 06.07.2011 | -0,100 | -0,41% | 05.07.2011 |
| Latin America Fund | 48,480 | USD | 06.07.2011 | -0,340 | -0,70% | 05.07.2011 |
| Malaysia Fund | 48,070 | USD | 06.07.2011 | 0,220 | 0,46% | 05.07.2011 |
| Multi Asset Strategic Fund EUR ACC | 10,420 | EUR | 06.07.2011 | 0,040 | 0,38% | 05.07.2011 |
| Multi Asset Strategic Fund EUR | 9,888 | EUR | 06.07.2011 | 0,037 | 0,37% | 05.07.2011 |
| Multi Asset Strategic Fund USD | 11,170 | USD | 06.07.2011 | -0,070 | -0,63% | 05.07.2011 |
| Nordic Fund ACC | 51,020 | SEK | 06.07.2011 | -0,310 | -0,61% | 05.07.2011 |
| Nordic Fund | 589,300 | SEK | 06.07.2011 | -3,600 | -0,61% | 05.07.2011 |
| Pacific Fund | 22,340 | USD | 06.07.2011 | 0,020 | 0,09% | 05.07.2011 |
| Singapore Fund | 51,670 | USD | 06.07.2011 | -0,230 | -0,45% | 05.07.2011 |
| South East Asia Fund EUR ACC | 17,290 | EUR | 06.07.2011 | 0,110 | 0,64% | 05.07.2011 |
| South East Asia Fund EUR | 5,160 | EUR | 06.07.2011 | 0,033 | 0,64% | 05.07.2011 |
| South East Asia Fund USD ACC | 19,500 | USD | 06.07.2011 | -0,060 | -0,31% | 05.07.2011 |
| South East Asia Fund USD | 7,395 | USD | 06.07.2011 | -0,025 | -0,34% | 05.07.2011 |
| Sterling Bond Fund ACC | 1,249 | GBP | 06.07.2011 | 0,005 | 0,40% | 05.07.2011 |
| Sterling Bond Fund | 0,290 | GBP | 06.07.2011 | 0,001 | 0,34% | 05.07.2011 |
| Sterling Currency Fund | 21,567 | GBP | 06.07.2011 | 0,000 | 0,00% | 05.07.2011 |
| Swiss Franc Currency Fund | 31,591 | CHF | 06.07.2011 | 0,000 | 0,00% | 05.07.2011 |
| Switzerland Fund ACC | 8,382 | CHF | 06.07.2011 | -0,078 | -0,93% | 05.07.2011 |
| Switzerland Fund | 36,630 | CHF | 06.07.2011 | -0,340 | -0,93% | 05.07.2011 |
| Taiwan Fund | 9,698 | USD | 06.07.2011 | 0,060 | 0,62% | 05.07.2011 |
| Target TM 2010 Euro Fund ACC | 10,080 | EUR | 06.07.2011 | 0,000 | 0,00% | 05.07.2011 |
| Target TM 2010 Euro Fund | 21,080 | EUR | 06.07.2011 | 0,000 | 0,00% | 05.07.2011 |
| Target TM 2015 Euro Fund ACC | 10,420 | EUR | 06.07.2011 | 0,010 | 0,10% | 05.07.2011 |
| Target TM 2015 Euro Fund | 26,810 | EUR | 06.07.2011 | 0,020 | 0,07% | 05.07.2011 |
| Target TM 2020 Euro Fund ACC | 9,719 | EUR | 06.07.2011 | 0,009 | 0,09% | 05.07.2011 |
| Target TM 2020 Euro Fund | 29,350 | EUR | 06.07.2011 | 0,030 | 0,10% | 05.07.2011 |
| Target TM 2025 Euro Fund ACC | 9,462 | EUR | 06.07.2011 | 0,010 | 0,11% | 05.07.2011 |
| Target TM 2025 Euro Fund | 23,750 | EUR | 06.07.2011 | 0,020 | 0,08% | 05.07.2011 |
| Target TM 2030 Euro Fund ACC | 9,483 | EUR | 06.07.2011 | 0,009 | 0,09% | 05.07.2011 |
| Target TM 2030 Euro Fund | 23,890 | EUR | 06.07.2011 | 0,020 | 0,08% | 05.07.2011 |
| Target TM 2035 Euro Fund ACC | 19,730 | EUR | 06.07.2011 | 0,020 | 0,10% | 05.07.2011 |
| Target TM 2035 Euro Fund | 19,450 | EUR | 06.07.2011 | 0,020 | 0,10% | 05.07.2011 |
| Target TM 2040 Euro Fund ACC | 19,720 | EUR | 06.07.2011 | 0,020 | 0,10% | 05.07.2011 |
| Target TM 2040 Euro Fund | 19,450 | EUR | 06.07.2011 | 0,020 | 0,10% | 05.07.2011 |
| Telecommunications Fund ACC | 11,650 | EUR | 06.07.2011 | 0,040 | 0,34% | 05.07.2011 |
| Thailand Fund | 35,760 | USD | 06.07.2011 | -0,390 | -1,09% | 05.07.2011 |
| US Dollar Bond Fund ACC | 12,580 | USD | 06.07.2011 | 0,030 | 0,24% | 05.07.2011 |
| US Dollar Bond Fund | 6,397 | USD | 06.07.2011 | 0,012 | 0,19% | 05.07.2011 |
| US Dollar Cash Fund ACC | 10,8493 | USD | 06.07.2011 | 0,0001 | 0,00% | 05.07.2011 |
| US Dollar Cash Fund | 11,7149 | USD | 06.07.2011 | 0,000 | 0,00% | 05.07.2011 |
| US Dollar Currency Fund | 33,377 | USD | 06.07.2011 | 0,000 | 0,00% | 05.07.2011 |
| US High Yield Fund EUR ACC | 12,840 | EUR | 06.07.2011 | 0,150 | 1,17% | 05.07.2011 |
| US High Yield Fund EUR | 7,229 | EUR | 06.07.2011 | 0,085 | 1,18% | 05.07.2011 |
| US High Yield Fund USD | 12,420 | USD | 06.07.2011 | 0,020 | 0,16% | 05.07.2011 |
| United Kingdom Fund | 1,930 | GBP | 06.07.2011 | -0,008 | -0,41% | 05.07.2011 |
| World Fund | 10,390 | EUR | 06.07.2011 | 0,020 | 0,19% | 05.07.2011 |