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.
×
Statusmeldung
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 | |
|---|---|---|---|---|---|
|
Emirates NBD SICAV - Emirates MENA Top Companies Fund 21:15:04 / 13.11.25 |
USD | EuroPerformance USD | 42513778 | 11.556 | |
|
BNP Paribas European Infra Debt Fund S.A. SICAV - RAIF 17:00:05 / 28.06.24 |
EUR | Consolidated Fund Values Global | 57549205 | 1'054.65 | |
|
BNP Paribas European Infra Debt Fund S.A. SICAV - RAIF 17:00:05 / 28.06.24 |
EUR | Consolidated Fund Values EEA | 57549205 | 1'054.65 | |
|
HSBC Global Investment Funds SICAV - Global High Yield Bond 08:28:36 / 31.12.24 |
CHF | Eidg. Steuerverwaltung | 18557312 | 8.425 | |
|
Gemstone (Capital) SCSp-RAIF - Emerald Capital Growth 18:44:24 / 06.11.25 |
EUR | Consolidated Fund Values Global | 141855566 | 105.03 | |
|
Gemstone (Capital) SCSp-RAIF - Emerald Capital Growth 18:44:24 / 06.11.25 |
EUR | Consolidated Fund Values EEA | 141855566 | 105.03 | |
|
Gemstone (Capital) SCSp-RAIF - Emerald Capital Growth 21:15:23 / 06.11.25 |
EUR | EuroPerformance EUR | 141855566 | 105.03 | |
|
AXA World Funds SICAV - US High Yield Bonds 03:00:21 / 12.11.25 |
USD | Consolidated Fund Values EEA | 2847115 | 95.62 | |
|
AXA World Funds SICAV - US High Yield Bonds 07:02:55 / 13.11.25 |
USD | FE Fundinfo Mandated | 2847115 | 95.37 | |
|
AXA World Funds SICAV - US High Yield Bonds 03:00:08 / 13.11.25 |
USD | EuroPerformance USD | 2847115 | 95.37 | |
|
AXA World Funds SICAV - US High Yield Bonds 03:00:21 / 12.11.25 |
USD | Consolidated Fund Values Global | 33706141 | 95.14 | |
|
AXA World Funds SICAV - US High Yield Bonds 07:02:55 / 13.11.25 |
USD | FE Fundinfo Mandated | 33706141 | 94.89 | |
|
LendInvest S.C.A. SICAV-RAIF - LendInvest Secured Credit Fund II 00:00:01 / 30.06.25 |
GBP | Fundsquare S.A., GBP | 23092583 | 1'171.23 | |
|
LendInvest S.C.A. SICAV-RAIF - LendInvest Secured Credit Fund II 17:00:14 / 30.09.25 |
GBP | Consolidated Fund Values Global | 23092583 | 1'198.85 | |
|
LendInvest S.C.A. SICAV-RAIF - LendInvest Secured Credit Fund II 17:00:14 / 30.09.25 |
GBP | EuroPerformance GBP | 23092583 | 1'198.85 | |
|
MGTS IDAD Refined Growth Fund 18:15:06 / 13.11.25 |
GBP | EuroPerformance GBP | 122708726 | 1.216 | |
|
JPMorgan Investment Funds SICAV - Europe Strategic Dividend Fund 08:28:37 / 31.12.24 |
CHF | Eidg. Steuerverwaltung | 22422268 | 134.12 | |
|
JPMorgan Investment Funds SICAV - Europe Strategic Dividend Fund 21:07:27 / 13.11.25 |
EUR | Consolidated Fund Values Global | 22422268 | 173.08 | |
|
JPMorgan Investment Funds SICAV - Europe Strategic Dividend Fund 21:07:27 / 13.11.25 |
EUR | Consolidated Fund Values EEA | 22422268 | 173.08 | |
|
JPMorgan Investment Funds SICAV - Europe Strategic Dividend Fund 21:15:04 / 13.11.25 |
EUR | EuroPerformance EUR | 22422268 | 173.08 | |
|
Eleva UCITS Fund SICAV - Eleva Sustainable Impact Europe Fund 00:00:00 / 25.07.25 |
EUR | EuroPerformance EUR | 117110880 | 0.0000 | |
|
MGTS IDAD Refined Growth Fund 18:15:06 / 13.11.25 |
GBP | Consolidated Fund Values EEA | 122708726 | 1.216 | |
|
Candriam Bonds SICAV - Candriam Bonds Euro Diversified 00:00:00 / 25.07.25 |
EUR | EuroPerformance EUR | 28820570 | 0.0000 | |
|
JPMorgan Funds SICAV - Sterling Managed ReservesFund 00:00:01 / 14.06.24 |
GBP | Fundsquare S.A., GBP | 32752540 | 10'575.38 | |
|
JPMorgan Funds SICAV - Sterling Managed ReservesFund 22:20:04 / 14.06.24 |
GBP | Consolidated Fund Values EEA | 32752540 | 10'575.38 |