Nachstehende Daten öffentlicher Publikumsfonds werden von der OeKB Oesterreichische Kontrollbank AG zur Verfügung gestellt.

NameNet Asset ValueRücknahmepreisDiff.% 1T
Diff. abs.
Datum
Zeit
ISINAusgabepreisJahreshoch1Jahrestief1
PB EXCLUSIVE SELECTION PLUS EUR P03114,68114,68
-0,61 %
-0,70
02.09.2026
16:00:07
AT0000A3FU01117,55116,23100,16
PB EXCLUSIVE SELECTION PLUS EUR P03114,70114,70
-0,61 %
-0,70
02.09.2026
16:00:07
AT0000A3FTZ0117,57116,20100,23
PB EXCLUSIVE SELECTION EUR R01109,16109,16
-0,39 %
-0,43
02.09.2026
16:00:07
AT0000A3FTU1111,89110,50100,49
PB EXCLUSIVE SELECTION EUR R01108,78108,78
-0,39 %
-0,43
02.09.2026
16:00:07
AT0000A3FTT3111,50110,12100,48
PB EXCLUSIVE SELECTION EUR R01107,62107,62
-0,39 %
-0,42
02.09.2026
16:00:07
AT0000A3FTS5110,32108,94100,48
PB EXCLUSIVE SELECTION EUR P03109,71109,71
-0,40 %
-0,44
02.09.2026
16:00:07
AT0000A3FTR7112,46111,05100,77
PB EXCLUSIVE SELECTION EUR P03109,79109,79
-0,39 %
-0,43
02.09.2026
16:00:07
AT0000A3FTQ9112,54111,10100,83
PB EXCLUSIVE SELECTION EUR P03 AZ107,54107,54
-0,40 %
-0,43
02.09.2026
16:00:07
AT0000A3FTP1110,23108,82100,32
s Bond Plus (A)102,23102,23
-0,31 %
-0,32
02.09.2026
16:00:07
AT0000A3FS54102,23105,37100,27
s Bond Plus (T)104,38104,38
-0,32 %
-0,33
02.09.2026
16:00:07
AT0000A3FS47104,38106,00102,38
Premium Stable Invest EUR K01104,48104,48
-0,54 %
-0,57
02.09.2026
16:00:07
AT0000A3FN67106,05105,8398,12
Premium Stable Invest EUR K01101,62101,62
-0,54 %
-0,55
02.09.2026
16:00:07
AT0000A3FN59103,15102,9395,94
Premium Stable Invest EUR R01103,81103,81
-0,54 %
-0,56
02.09.2026
16:00:07
AT0000A3FN26105,37105,2197,74
Premium Stable Invest EUR R01101,04101,04
-0,54 %
-0,55
02.09.2026
16:00:07
AT0000A3FN18102,56102,4095,73
KONZEPT : ERTRAG 2033103,55103,55
-0,17 %
-0,18
02.09.2026
16:00:07
AT0000A3FMU6107,17105,8697,35
Managed Reserve Plus T9,739,73
-0,31 %
-0,03
02.09.2026
16:00:07
AT0000A3FMG59,9310,719,51
Managed Reserve Plus A9,519,51
-0,42 %
-0,04
02.09.2026
16:00:07
AT0000A3FFV89,7110,719,30
ERSTE WWF STOCK ENVIRONMENT EUR P0197,4997,49
-0,60 %
-0,59
02.09.2026
16:00:07
AT0000A3F8K8101,39115,8583,44
ERSTE STOCK TECHNO EUR P01153,05153,05
-1,16 %
-1,80
02.09.2026
16:00:07
AT0000A3F8J0159,18168,94106,44
ERSTE RESPONSIBLE STOCK GLOBAL EUR P01121,96121,96
-0,55 %
-0,68
02.09.2026
16:00:07
AT0000A3F8H4128,06124,89100,78
ERSTE RESPONSIBLE BOND GLOBAL IMPACT EUR P01101,84101,84
-0,11 %
-0,11
02.09.2026
16:00:07
AT0000A3F8G6105,41103,81100,94
ERSTE GREEN INVEST MIX EUR P01110,73110,73
-0,23 %
-0,26
02.09.2026
16:00:07
AT0000A3F8F8116,27119,91100,10
ERSTE GREEN INVEST EUR P01114,90114,90
-0,34 %
-0,39
02.09.2026
16:00:07
AT0000A3F8E1120,65133,4494,39
ERSTE FAIR INVEST EUR P01113,41113,41
-0,60 %
-0,69
02.09.2026
16:00:07
AT0000A3F8D3119,09114,6398,15
ERSTE BOND EM CORPORATE EUR P01104,22104,22
-0,11 %
-0,11
02.09.2026
16:00:07
AT0000A3F8C5107,87105,10102,67
FTC Systematic Global Trend (Founder Klasse)1.102,621.047,48
-1,02 %
-10,77
31.08.2026
16:00:07
AT0000A3EZ151.212,891.074,45905,27
FTC Systematic Global Trend (Founder Klasse)1.125,281.069,01
-1,02 %
-10,98
31.08.2026
16:00:07
AT0000A3EZ071.237,811.096,52905,35
FTC Systematic Global Trend (R)1.077,371.077,37
-1,05 %
-11,45
31.08.2026
16:00:07
AT0000A3EYZ31.131,241.106,10946,14
FTC Systematic Global Trend (I)1.090,081.090,08
-1,00 %
-11,02
31.08.2026
16:00:07
AT0000A3EYY61.144,591.117,86949,59
FTC Systematic Global Trend (I)1.171,221.171,22
+0,37 %
+4,37
31.08.2026
16:00:07
AT0000A3EYX81.229,791.198,441.029,30
Raiffeisen Systematic US Equity (RZ) A126,73126,73
-0,54 %
-0,69
02.09.2026
16:00:07
AT0000A3EU44126,73129,66104,98
Raiffeisen Systematic Pacific Equity (RZ) A127,71127,71
+0,05 %
+0,06
02.09.2026
16:00:07
AT0000A3EU36127,71129,66101,32
Raiffeisen Systematic Global Equity (RZ) A128,70128,70
-0,48 %
-0,62
02.09.2026
16:00:07
AT0000A3EU28128,70131,25106,66
Raiffeisen Systematic Europe Equity (RZ) A120,63120,63
-0,41 %
-0,50
02.09.2026
16:00:07
AT0000A3EU10120,63122,59102,68
ERSTE LAUFZEITFONDS KMU 2029 EUR R01101,6599,61
-0,05 %
-0,05
02.09.2026
16:00:07
AT0000A3ET88101,65101,9299,47
Raiffeisen-Mehrwert 2027 III (S) VTA103,91102,87
-0,03 %
-0,03
02.09.2026
16:00:07
AT0000A3ED03105,99102,96101,50
Raiffeisen-Mehrwert 2027 III (RZ) VTA105,28104,22
-0,02 %
-0,02
02.09.2026
16:00:07
AT0000A3ECZ9107,39104,29102,09
Raiffeisen-Mehrwert 2027 III (RZ) T104,53103,48
-0,02 %
-0,02
02.09.2026
16:00:07
AT0000A3ECY2106,62103,55101,81
Raiffeisen-Mehrwert 2027 III (RZ) A102,49101,46
-0,02 %
-0,02
02.09.2026
16:00:07
AT0000A3ECX4104,54102,9999,82
Raiffeisen-Mehrwert 2027 III (R) VTA104,93103,88
-0,03 %
-0,03
02.09.2026
16:00:07
AT0000A3ECW6107,03103,95101,94
Raiffeisen-Mehrwert 2027 III (R) A102,41101,38
-0,02 %
-0,02
02.09.2026
16:00:07
AT0000A3ECU0104,46102,7999,82
Raiffeisen-Mehrwert 2027 III (R) T104,24103,19
-0,02 %
-0,02
02.09.2026
16:00:07
AT0000A3ECT2106,32103,26101,60
Raiffeisen-Mehrwert 2029 II (S) VTA104,83103,78
-0,09 %
-0,09
02.09.2026
16:00:07
AT0000A3ECS4106,93104,23101,86
Raiffeisen-Mehrwert 2029 II (R) VTA105,90104,84
-0,08 %
-0,08
02.09.2026
16:00:07
AT0000A3ECP0108,02105,18102,65
Sunrise Dividends and Interest (A)113,05113,05
-0,13 %
-0,15
02.09.2026
16:00:07
AT0000A3EAW0113,05115,22103,41
CORE Equities Europe EUR R01125,07125,07
-0,63 %
-0,79
02.09.2026
16:00:07
AT0000A3E925130,70127,66106,74
CORE Equities Europe EUR R01125,07125,07
-0,63 %
-0,79
02.09.2026
16:00:07
AT0000A3E917130,70127,66106,74
Portfolio Fair Dynamic (T)115,79115,79
-0,15 %
-0,17
02.09.2026
16:00:07
AT0000A3E859121,58116,15100,74
ERSTE FONDSKONZEPT 24-2 EUR R01132,58132,58
-0,56 %
-0,74
02.09.2026
16:00:07
AT0000A3E7U0136,56135,88102,68
ERSTE FONDSKONZEPT 24-2 EUR R01131,58131,58
-0,56 %
-0,74
02.09.2026
16:00:07
AT0000A3E7T2135,53135,38102,58

1 Letzte 52 Wochen 

 

Quelle: OeKB (nur öffentliche Publikumsfonds)