Das Jahresergebnis des weltgrössten Schokoladenproduzenten für 2024/25 sorgt vor allem beim freien Cashflow für Erleichterung. Der langfristige Investment Case bleibt intakt – doch die Risiken sind nicht verschwunden.
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Als angemeldeter User erhalten Sie nun alle Marktdaten der Schweizer Börse SIX in Realtime. Übrige Marktdaten sind mind. 15 Minuten verzögert.| NAME | WÄHRUNG | BÖRSE | VALOR | KURS | |
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Porta Equity ELTIF FCP 20:13:14 / 11.11.25 |
EUR | Consolidated Fund Values Global | 134511090 | 103.64 | |
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Porta Equity ELTIF FCP 00:00:01 / 14.08.25 |
EUR | Fundsquare S.A., EUR | 134511090 | 102.97 | |
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Lombard Odier Funds SICAV - Short-Term Money Market (EUR) 06:12:44 / 31.12.24 |
CHF | Eidg. Steuerverwaltung | 35933936 | 111.16 | |
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Lombard Odier Funds SICAV - Short-Term Money Market (USD) 21:15:04 / 11.11.25 |
USD | EuroPerformance USD | 35934682 | 13.098 | |
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Fondaco SIF FCP-SIF - Fondaco Lux Value Equity 15:20:05 / 17.10.23 |
EUR | EuroPerformance EUR | 22595381 | 337.52 | |
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AXA World Funds SICAV - Global Inflation Short Duration Bonds 03:00:05 / 10.11.25 |
USD | Consolidated Fund Values EEA | 31289369 | 109.65 | |
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HSBC Global Investment Funds SICAV - India Fixed Income 00:00:01 / 13.05.25 |
GBP | Fundsquare S.A., GBP | 18531112 | 7.839 | |
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HSBC Global Investment Funds SICAV - India Fixed Income 22:45:04 / 13.05.25 |
GBP | Consolidated Fund Values Global | 18531112 | 7.839 | |
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HSBC Global Investment Funds SICAV - India Fixed Income 08:46:55 / 31.12.24 |
CHF | Eidg. Steuerverwaltung | 18534965 | 8.278 | |
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HSBC Global Investment Funds SICAV - India Fixed Income 22:45:04 / 11.11.25 |
EUR | Consolidated Fund Values Global | 18534965 | 7.650 | |
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HSBC Global Investment Funds SICAV - India Fixed Income 22:45:04 / 11.11.25 |
JPY | Consolidated Fund Values Global | 133512519 | 9'079.06 | |
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HSBC Global Investment Funds SICAV - India Fixed Income 22:45:04 / 11.11.25 |
JPY | Consolidated Fund Values EEA | 133512519 | 9'079.06 | |
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HSBC Global Investment Funds SICAV - India Fixed Income 22:45:04 / 11.11.25 |
JPY | EuroPerformance JPY | 133512519 | 9'079.06 | |
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SMTAM DC Foreign Equity Index Fund L 13:00:57 / 10.11.25 |
JPY | Consolidated Fund Values Global | 1664821 | 108'895.00 | |
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(LF) FCP - (LF) Greek Corporate Bond Fund 00:00:01 / 03.11.22 |
EUR | Consolidated Fund Values Global | 53520827 | 14.363 | |
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Triodos Sicav II SICAV - Emerging Markets Renewable Energy Fund 12:45:04 / 31.07.25 |
EUR | Consolidated Fund Values Global | 56650894 | 23.80 | |
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Triodos Sicav II SICAV - Emerging Markets Renewable Energy Fund 12:45:04 / 31.07.25 |
EUR | Consolidated Fund Values EEA | 56650894 | 23.80 | |
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Triodos Sicav II SICAV - Emerging Markets Renewable Energy Fund 00:15:17 / 01.08.25 |
EUR | Combined Fund Manager/Administrator - EUR | 56650894 | 23.80 | |
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GS&P Fonds FCP - Dividende Spezial 16:07:31 / 12.11.25 |
EUR | DZ Privatbank S.A. | 146466284 | 991.56 | |
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GS&P Fonds FCP - Dividende Spezial 15:46:10 / 11.11.25 |
EUR | Consolidated Fund Values EEA | 146466284 | 983.95 | |
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Allianz Global Investors Fund SICAV - Allianz Europe Equity Growth 08:28:34 / 31.12.24 |
CHF | Eidg. Steuerverwaltung | 2737879 | 3'604.81 | |
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Allianz Global Investors Fund SICAV - Allianz Europe Equity Growth 17:09:34 / 12.11.25 |
EUR | Kneip Communication SA, EUR | 2737879 | 3'693.10 | |
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Allianz Global Investors Fund SICAV - Allianz Europe Equity Growth 17:00:19 / 11.11.25 |
EUR | Consolidated Fund Values Global | 2737879 | 3'655.97 | |
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Allianz Global Investors Fund SICAV - Allianz Europe Equity Growth 17:00:19 / 11.11.25 |
EUR | Consolidated Fund Values EEA | 2737879 | 3'655.97 | |
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Allianz Global Investors Fund SICAV - Allianz Europe Equity Growth 18:15:07 / 12.11.25 |
EUR | EuroPerformance EUR | 2737879 | 3'693.10 |