| Name | Net Asset Value | Redemption Value | Chg. % 1D Chg. Abs. | Date Time | ISIN | Issuer Price | Year High1 | Year Low1 |
|---|---|---|---|---|---|---|---|---|
| KEPLER Vorsorge Rentenfonds (T) | 125.72 | 125.72 | -0.06% -0.08 | 09/02/2026 16:00:07 | AT0000722566 | 128.86 | 128.78 | 125.43 |
| Hypo Global Balanced A | 124.45 | 124.45 | -0.31% -0.39 | 09/01/2026 16:00:07 | AT0000713474 | 128.81 | 125.67 | 112.71 |
| Raiffeisen Systematic Global Equity (RZ) A | 128.70 | 128.70 | -0.48% -0.62 | 09/02/2026 16:00:07 | AT0000A3EU28 | 128.70 | 131.25 | 106.66 |
| Raiffeisen-ESG-Euro-Rent (R) T | 128.56 | 128.56 | -0.14% -0.18 | 09/02/2026 16:00:07 | AT0000805445 | 128.56 | 132.40 | 128.03 |
| s EthikBond (T) | 123.45 | 123.45 | -0.23% -0.28 | 09/02/2026 16:00:07 | AT0000681184 | 128.39 | 126.03 | 123.29 |
| Portfolio Economist (T) | 122.17 | 122.17 | -0.13% -0.16 | 09/02/2026 16:00:07 | AT0000A36HN7 | 128.28 | 122.61 | 111.95 |
| Anadi Global Selection - EUR - T | 124.28 | 123.93 | -0.28% -0.35 | 09/02/2026 16:00:07 | AT0000A1WBB8 | 128.27 | 125.91 | 116.73 |
| DSC Equity Fund - Consumer Staples (CHF) (AA) | 124.49 | 124.49 | +0.59% +0.73 | 09/02/2026 16:00:07 | AT0000A1FNQ6 | 128.23 | 129.85 | 115.23 |
| ERSTE RESERVE EURO PLUS EUR R01 | 127.23 | 127.23 | -0.05% -0.06 | 09/02/2026 16:00:07 | AT0000673355 | 128.19 | 127.59 | 125.41 |
| Amundi Ethik Fonds ausgewogen | 123.84 | 123.84 | -0.45% -0.56 | 09/02/2026 16:00:07 | AT0000A2GGQ6 | 128.17 | 128.24 | 114.10 |
| Raiffeisen-Nachhaltigkeit-EmergingMarkets-LocalBonds (R) VTA | 128.09 | 128.09 | +0.13% +0.16 | 09/02/2026 16:00:07 | AT0000A0FXM6 | 128.09 | 129.57 | 119.85 |
| WB Vermögensbildungsfonds (R) | 128.07 | 128.07 | -0.78% -1.01 | 09/02/2026 16:00:07 | AT0000A2T4A3 | 128.07 | 131.44 | 107.27 |
| ERSTE RESPONSIBLE STOCK GLOBAL EUR P01 | 121.96 | 121.96 | -0.55% -0.68 | 09/02/2026 16:00:07 | AT0000A3F8H4 | 128.06 | 124.89 | 100.78 |
| Portfolio Management Ethik Mix Solide (T) | 127.92 | 127.92 | -0.23% -0.29 | 09/02/2026 16:00:07 | AT0000A2CN95 | 127.92 | 129.81 | 121.40 |
| ERSTE BOND CORPORATE PLUS EUR R01 | 123.57 | 123.57 | -0.16% -0.20 | 09/02/2026 16:00:07 | AT0000A1PKN8 | 127.90 | 124.97 | 121.59 |
| ERSTE MORTGAGE EUR R01 | 123.55 | 123.55 | -0.33% -0.41 | 09/02/2026 16:00:07 | AT0000700786 | 127.88 | 127.78 | 123.55 |
| ERSTE RESPONSIBLE RESERVE EUR R01 (V) | 126.75 | 126.75 | -0.02% -0.02 | 09/02/2026 16:00:07 | AT0000A0WLX3 | 127.71 | 126.81 | 124.50 |
| Raiffeisen Systematic Pacific Equity (RZ) A | 127.71 | 127.71 | +0.05% +0.06 | 09/02/2026 16:00:07 | AT0000A3EU36 | 127.71 | 129.66 | 101.32 |
| LLB Strategie Total Return 2.0 (R) | 121.49 | 121.49 | -0.38% -0.46 | 09/02/2026 16:00:07 | AT0000A2R9R8 | 127.57 | 123.08 | 111.64 |
| Top Strategie Planer EUR R01 | 124.34 | 124.34 | -0.26% -0.33 | 09/02/2026 16:00:07 | AT0000A0T671 | 127.45 | 125.36 | 119.85 |
| froots Multi Asset §14 Fonds P | 123.04 | 123.04 | -0.06% -0.08 | 09/02/2026 16:00:07 | AT0000A35XQ9 | 127.35 | 123.91 | 113.90 |
| ClassicBond (T) | 124.22 | 124.22 | -0.13% -0.16 | 09/02/2026 16:00:07 | AT0000497680 | 127.33 | 128.85 | 123.98 |
| Mozart one (R) | 121.13 | 121.10 | -0.74% -0.90 | 09/02/2026 16:00:07 | AT0000A0KML1 | 127.20 | 128.40 | 115.90 |
| Amundi Öko Sozial Euro Short Term Bond | 126.48 | 126.48 | -0.10% -0.13 | 09/02/2026 16:00:07 | AT0000A05TK3 | 127.11 | 127.43 | 125.65 |
| Amundi Öko Sozial Euro Aggregate Bond | 123.75 | 123.75 | -0.22% -0.27 | 09/02/2026 16:00:07 | AT0000A0FMW8 | 126.84 | 127.63 | 123.13 |
| Raiffeisen Systematic US Equity (RZ) A | 126.73 | 126.73 | -0.54% -0.69 | 09/02/2026 16:00:07 | AT0000A3EU44 | 126.73 | 129.66 | 104.98 |
| Amundi Öko Sozial Euro Corporate Bond - EUR - A | 123.00 | 123.00 | -0.25% -0.31 | 09/02/2026 16:00:07 | AT0000706734 | 126.69 | 125.41 | 121.56 |
| KEPLER Euro Plus Rentenfonds (A) | 124.21 | 124.21 | -0.19% -0.24 | 09/02/2026 16:00:07 | AT0000784756 | 126.69 | 131.44 | 124.21 |
| NDR Active Allocation - Kathrein Fund (R) A | 120.50 | 120.50 | -0.04% -0.05 | 09/02/2026 16:00:07 | AT0000A1DJW7 | 126.53 | 122.11 | 110.60 |
| C-QUADRAT ARTS Total Return Balanced H | 126.31 | 126.31 | -0.04% -0.05 | 09/02/2026 16:00:07 | AT0000A218G7 | 126.31 | 131.64 | 115.13 |
| Schoellerbank ESG Dynamisch (A) | 121.99 | 121.99 | -0.72% -0.88 | 09/02/2026 16:00:07 | AT0000A36G52 | 126.26 | 124.74 | 110.14 |
| C-QUADRAT V.S.OP T | 120.10 | 120.10 | -0.51% -0.62 | 09/02/2026 16:00:07 | AT0000A0UJH4 | 126.11 | 125.68 | 113.95 |
| SpänglerPrivat: Ertrag Plus (RT) | 122.17 | 122.17 | -0.15% -0.18 | 09/02/2026 16:00:07 | AT0000A0ZYB5 | 125.84 | 123.32 | 116.24 |
| Gutmann Central and Eastern Europe Bonds (EUR) (A) | 123.34 | 123.34 | -0.23% -0.29 | 09/02/2026 16:00:07 | AT0000A0PET0 | 125.81 | 126.07 | 119.71 |
| Gutmann Pure Innovation (EUR) (T1) | 120.89 | 120.89 | -2.58% -3.20 | 09/02/2026 16:00:07 | AT0000A2VB88 | 125.73 | 128.08 | 90.03 |
| Raiffeisen-Nachhaltigkeit-Mix (S) A | 125.48 | 125.48 | -0.52% -0.66 | 09/02/2026 16:00:07 | AT0000A2E091 | 125.48 | 128.31 | 114.37 |
| Raiffeisen-Global-Strategic-Opportunities (R) VTA | 125.42 | 125.42 | -0.33% -0.41 | 09/02/2026 16:00:07 | AT0000A39F84 | 125.42 | 127.44 | 111.11 |
| ERSTE RESPONSIBLE RESERVE EUR R01 (T) | 124.47 | 124.47 | -0.02% -0.02 | 09/02/2026 16:00:07 | AT0000A03969 | 125.41 | 124.55 | 123.14 |
| ERSTE FAIR INVEST EUR R01 | 119.29 | 119.29 | -0.61% -0.73 | 09/02/2026 16:00:07 | AT0000A2RUE0 | 125.26 | 120.57 | 103.26 |
| UIA Garantie-Spar-Fonds 3 | 119.24 | 119.24 | -0.42% -0.50 | 09/02/2026 16:00:07 | AT0000A10UU0 | 125.21 | 125.69 | 108.56 |
| Raiffeisen Systematic Europe Equity (RZ) T | 125.18 | 125.18 | -0.41% -0.51 | 09/02/2026 16:00:07 | AT0000A3DUS8 | 125.18 | 127.22 | 104.87 |
| Raiffeisen-Rent-Flexibel (R) VTA | 125.12 | 125.12 | -0.14% -0.18 | 09/02/2026 16:00:07 | AT0000A0QQ64 | 125.12 | 127.21 | 123.16 |
| LLB Portfolio Renten Dachfonds (I) | 119.15 | 119.15 | -0.24% -0.29 | 09/02/2026 16:00:07 | AT0000A1LJC2 | 125.11 | 122.15 | 116.54 |
| ERSTE FAIR INVEST EUR R01 | 119.06 | 119.06 | -0.61% -0.73 | 09/02/2026 16:00:07 | AT0000A2RUD2 | 125.02 | 120.35 | 103.06 |
| PP Global Balanced | 118.86 | 118.80 | -0.50% -0.60 | 09/02/2026 16:00:07 | AT0000A0M5C5 | 124.90 | 121.20 | 108.30 |
| KONZEPT : ERTRAG ausgewogen | 120.67 | 120.67 | -0.29% -0.35 | 09/02/2026 16:00:07 | AT0000810056 | 124.89 | 122.05 | 112.80 |
| ERSTE BOND DOLLAR EUR R01 | 120.56 | 120.56 | -0.03% -0.04 | 09/02/2026 16:00:07 | AT0000673207 | 124.78 | 124.95 | 118.15 |
| CORE Dynamic | 120.55 | 120.55 | -0.54% -0.66 | 09/02/2026 16:00:07 | AT0000828629 | 124.77 | 125.29 | 109.49 |
| ERSTE RESPONSIBLE BOND GLOBAL HIGH YIELD EUR R01 | 120.44 | 120.44 | -0.14% -0.17 | 09/02/2026 16:00:07 | AT0000A2DY18 | 124.66 | 120.78 | 116.95 |
| Premium Balanced Invest EUR R01 | 122.77 | 122.77 | -0.70% -0.87 | 09/02/2026 16:00:07 | AT0000A1TVN7 | 124.62 | 124.61 | 112.95 |
