AB SICAV I International Technology Portfolio Class A
WKN 986514 | ISIN LU0060230025 |                     Fonds
                
            | Name | Aktuell | Zeit | Vortag | Diff. % | Diff. | Vol. Stk. | |
|---|---|---|---|---|---|---|---|
| TradeGate | 983,16 EUR | 08.10.25 | 886,36 | - | - | 5 | 
                             | 
                    
| Berlin | 1.048,76 EUR | 03.11.25 | 1.046,16 | +0,25 % | +2,60 | 0 | 
                             | 
                    
| Düsseldorf | 1.054,87 EUR | 03.11.25 | 1.038,07 | +1,62 % | +16,80 | 0 | 
                             | 
                    
| Frankfurt | 1.052,74 EUR | 03.11.25 | 1.046,04 | +0,64 % | +6,71 | 0 | 
                             | 
                    
| Hamburg | 1.052,82 EUR | 03.11.25 | 1.045,90 | +0,66 % | +6,92 | 0 | 
                             | 
                    
| München | 1.058,99 EUR | 03.11.25 | 1.058,99 | +0,00 % | +0,00 | 0 | 
                             | 
                    
| Stuttgart | 1.057,80 EUR | 03.11.25 | 1.039,60 | +1,75 % | +18,20 | 0 | 
                             | 
                    
| Baader Bank (Baadex) | 1.057,07 EUR | 03.11.25 | 1.039,37 | +1,70 % | +17,70 | - | 
                             | 
                    
| Fonds | 1.219,59 USD | 31.10.25 | 1.214,33 | +0,43 % | +5,26 | - | 
                             | 
                    
| gettex | 1.059,06 EUR | 03.11.25 | 1.046,75 | +1,18 % | +12,31 | - | 
                             | 
                    
| Lang & Schwarz | 1.048,20 EUR | 03.11.25 | 1.031,35 | +1,63 % | +16,85 | - | 
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