The following data on public investment funds is provided by OeKB Oesterreichische Kontrollbank AG.

NameNet Asset ValueRedemption ValueChg. % 1D
Chg. Abs.
Date
Time
ISINIssuer PriceYear High1Year Low1
Apollo Konservativ T212.7912.79
-0.16%
-0.02
09/02/2026
16:00:07
AT0000A1TVS613.4712.9712.01
Apollo Muendel Bond ESG (A)6.626.62
-0.30%
-0.02
09/02/2026
16:00:07
AT00009000486.846.776.60
Apollo Muendel Bond ESG (AST)9.389.38
-0.11%
-0.01
09/02/2026
16:00:07
AT0000A2SQB29.699.599.35
Apollo Muendel Bond ESG (T)11.9311.93
-0.25%
-0.03
09/02/2026
16:00:07
AT000074696112.3212.2011.89
Apollo Multi-Factor Global Equity A19.4919.49
-0.51%
-0.10
09/02/2026
16:00:07
AT0000A227C720.5220.5016.07
Apollo Multi-Factor Global Equity T20.6320.63
-0.48%
-0.10
09/02/2026
16:00:07
AT0000A227A121.7221.6416.96
Apollo New World (A)104.61104.61
-0.30%
-0.31
09/02/2026
16:00:07
AT0000986054110.11106.11100.64
Apollo New World (T)271.52271.52
-0.29%
-0.80
09/02/2026
16:00:07
AT0000746979285.78275.41256.18
Apollo New World ESG (A)10.2710.27
-0.29%
-0.03
09/02/2026
16:00:07
AT0000A1XFG610.8110.4410.04
Apollo New World ESG (AST)10.2510.25
-0.29%
-0.03
09/02/2026
16:00:07
AT0000A2UX4210.7910.4210.02
Apollo New World ESG (T)11.3711.37
-0.26%
-0.03
09/02/2026
16:00:07
AT0000A1XFK811.9711.5611.12
Apollo New World ESG T3 EUR Hedg.99.6999.69
-0.28%
-0.28
09/02/2026
16:00:07
AT0000A3TK49104.93--
Apollo Smart Assets (I)97,355.7097,355.70
-0.09%
-88.36
09/02/2026
16:00:07
AT0000A3LF02102,466.88103,677.9892,944.84
Apollo Smart Assets (R)96.2296.22
-0.09%
-0.09
09/02/2026
16:00:07
AT0000A3LF10101.28102.8692.06
Apollo Smart Assets (R)96.4596.45
-0.09%
-0.09
09/02/2026
16:00:07
AT0000A3LF28101.52103.1192.28
Apollo Styrian Global Equity (A)42.4242.42
-0.63%
-0.27
09/02/2026
16:00:07
AT000076532644.6543.5235.76
Apollo Styrian Global Equity (T)49.6749.67
-0.64%
-0.32
09/02/2026
16:00:07
AT0000A03KC452.2850.9641.53
Aquila 150 (VT)152.87152.87
-0.42%
-0.65
09/02/2026
16:00:07
AT0000A2YD67160.52--
Aquila 158 (VT)129.81129.81
-0.30%
-0.39
09/02/2026
16:00:07
AT0000A339Q0136.31--
Arete PRIME VALUES Growth (EUR) (R)145.46145.46
-0.93%
-1.37
09/02/2026
16:00:07
AT0000803689152.74149.45131.76
Arete PRIME VALUES Growth (EUR) (T) (P)123.96123.96
-0.93%
-1.16
09/02/2026
16:00:07
AT0000A1U0Z6130.16127.29111.79
Arete PRIME VALUES Income (EUR) (R)127.93127.93
-0.42%
-0.54
09/02/2026
16:00:07
AT0000973029131.77130.76122.92
Ascensio II Absolute Return Bond Fund73.9173.91
-0.12%
-0.09
09/02/2026
16:00:07
AT000076635776.8775.9573.16
Aurelius 1136.65136.65
-0.38%
-0.52
09/02/2026
16:00:07
AT0000A2U2G1150.32139.89114.29
Austria Mündel95.3995.39
-0.06%
-0.06
09/02/2026
16:00:07
AT0000A1X8H498.2697.3595.30
Austria Mündel95.5295.52
-0.07%
-0.07
09/02/2026
16:00:07
AT0000A2HT8698.3997.4995.44
Austria Mündel95.6495.64
-0.06%
-0.06
09/02/2026
16:00:07
AT0000A2HT9498.5197.6195.55
AustroMündelRent (A)60.1460.14
-0.07%
-0.04
09/02/2026
16:00:07
AT000080125361.6462.5360.14
AustroMündelRent (T)111.23111.23
-0.06%
-0.07
09/02/2026
16:00:07
AT0000801246114.01114.32111.22
AustroRent (A)63.8663.86
-0.27%
-0.17
09/02/2026
16:00:07
AT000085981465.4665.5263.64
AustroRent (T)111.00111.00
-0.26%
-0.29
09/02/2026
16:00:07
AT0000859806113.78113.88110.61
Avantgarde Global Bond Fonds EUR R0180.0880.08
-0.14%
-0.11
09/02/2026
16:00:07
AT000074421482.4981.2179.12
Avantgarde Global Bond Fonds EUR R0145.3745.37
-0.13%
-0.06
09/02/2026
16:00:07
AT000074422246.7446.9444.82
Avantgarde Global Equity Fonds EUR R0195.2695.26
-1.05%
-1.01
09/02/2026
16:00:07
AT0000744206100.0396.7479.65
Avantgarde Global Equity Fonds EUR R01176.98176.98
-1.05%
-1.87
09/02/2026
16:00:07
AT0000A1LX93185.83179.73149.70
Avantgarde Klassik EUR R01177.88177.88
-0.36%
-0.65
09/02/2026
16:00:07
AT0000619556185.00178.53157.55
Avantgarde Klassik EUR R01128.37128.37
-0.36%
-0.47
09/02/2026
16:00:07
AT0000A2K2S8133.51128.84115.38
Avaris (EUR) (VT)172.75172.75
-0.17%
-0.30
09/02/2026
16:00:07
AT0000A0JG65181.39--
Avaris (USD) (VT)142.69142.69
-0.33%
-0.47
09/02/2026
16:00:07
AT0000A1KWR5149.83--
AVO 30 privat (RT)118.73118.73
-0.13%
-0.16
09/02/2026
16:00:07
AT0000A2KW86118.73120.38112.62
BarReserve (A)63.0963.09
-0.08%
-0.05
09/02/2026
16:00:07
AT000095249463.5663.6462.67
BarReserve (T)97.7997.79
-0.07%
-0.07
09/02/2026
16:00:07
AT000095248698.5298.3397.03
base4balance129.99129.99
-0.20%
-0.26
09/02/2026
16:00:07
AT0000A32604129.99131.67119.65
base4classic120.53120.53
-0.17%
-0.20
09/02/2026
16:00:07
AT0000A325Z0120.53122.13115.62
Belvedere Stock-kicker Fonds (A)119.92119.92
-1.66%
-2.02
09/02/2026
16:00:07
AT0000A2UTY4119.92126.3798.22
Belvedere Stock-kicker Fonds (T)123.74123.74
-1.65%
-2.08
09/02/2026
16:00:07
AT0000A2UTZ1123.74130.40101.35
Best of 3 Banken-Fonds16.0816.08
-0.43%
-0.07
09/02/2026
16:00:07
AT0000A146V916.5616.3214.27
BKS Anlagemix dynamisch143.14143.14
-0.13%
-0.18
09/02/2026
16:00:07
AT0000A25707148.87144.95127.77
BKS Anlagemix dynamisch156.87156.87
-0.12%
-0.19
09/02/2026
16:00:07
AT0000A25715163.14158.86138.04
BKS Anlagemix konservativ115.33115.33
-0.14%
-0.16
09/02/2026
16:00:07
AT0000A257X0119.94116.60110.19

1 Last 52 weeks  (based on close values)

Source: OeKB (only open-end mutual funds)