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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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 | |
|---|---|---|---|---|---|
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WInvest SICAV-SIF - Real Estate 15:46:13 / 30.06.25 |
EUR | Consolidated Fund Values Global | 36586554 | 117.93 | |
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WInvest SICAV-SIF - Real Estate 15:46:13 / 30.06.25 |
EUR | Consolidated Fund Values EEA | 36586554 | 117.93 | |
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WInvest SICAV-SIF - Real Estate 15:55:22 / 30.06.25 |
EUR | Combined Fund Manager/Administrator - EUR | 36586554 | 117.93 | |
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Franklin Templeton Investment Funds SICAV - Franklin India Fund 03:00:09 / 06.11.25 |
EUR | Consolidated Fund Values EEA | 2637143 | 82.03 | |
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Franklin Templeton Investment Funds SICAV - Franklin India Fund 03:00:09 / 06.11.25 |
EUR | EuroPerformance EUR | 2637143 | 82.03 | |
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SOLYS SICAV - QUADRANT EUROPE 18:15:05 / 28.10.25 |
EUR | Consolidated Fund Values Global | 113424048 | 77.03 | |
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SOLYS SICAV - QUADRANT EUROPE 18:15:05 / 28.10.25 |
EUR | EuroPerformance EUR | 113424048 | 77.03 | |
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Fidelity Funds SICAV - Global Dividend Plus Fund 22:45:04 / 10.07.25 |
USD | EuroPerformance USD | 111719526 | 12.230 | |
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JPMorgan Funds SICAV - Global Research Enhanced Index Equity Paris Aligned Fund 21:15:05 / 17.06.25 |
SEK | Consolidated Fund Values Global | 133808486 | 1'021.51 | |
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JPMorgan Funds SICAV - Global Research Enhanced Index Equity Paris Aligned Fund 21:15:05 / 17.06.25 |
SEK | EuroPerformance Others currencies | 133808486 | 1'021.51 | |
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JPMorgan Funds SICAV - Global Research Enhanced Index Equity Paris Aligned Fund 21:15:05 / 17.06.25 |
EUR | Consolidated Fund Values Global | 133808500 | 108.32 | |
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BNP Paribas Money 3M Sicav 22:30:20 / 06.11.25 |
EUR | Consolidated Fund Values Global | 12652027 | 23'670.15 | |
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BNP Paribas Money 3M Sicav 11:15:04 / 06.11.25 |
EUR | Consolidated Fund Values EEA | 12652027 | 23'670.15 | |
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BNP Paribas Money 3M Sicav 11:15:04 / 06.11.25 |
EUR | EuroPerformance EUR | 12652027 | 23'670.15 | |
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BNP Paribas Money 3M Sicav 23:30:20 / 06.11.25 |
EUR | Combined Fund Manager/Administrator - EUR | 12652027 | 23'670.15 | |
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Fidelity Active Strategy SICAV- Fixed Maturity 2027 Fund 22:45:05 / 07.11.25 |
EUR | Consolidated Fund Values EEA | 138001147 | 101.14 | |
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Fidelity Active Strategy SICAV- Fixed Maturity 2027 Fund 22:45:05 / 07.11.25 |
EUR | EuroPerformance EUR | 138001147 | 101.14 | |
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Fidelity Active Strategy SICAV- Fixed Maturity 2027 Fund 20:34:41 / 07.11.25 |
EUR | Consolidated Fund Values Global | 138002984 | 100.49 | |
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Fidelity Active Strategy SICAV- Fixed Maturity 2027 Fund 22:45:05 / 07.11.25 |
EUR | EuroPerformance EUR | 138002984 | 100.49 | |
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Credit Suisse Private Equity Platform II S.C.Sp. SICAV-RAIF - Credit Suisse Climate Innovation Fund 18:15:16 / 30.06.24 |
USD | Consolidated Fund Values Global | 58051583 | 0.9856 | |
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Credit Suisse Private Equity Platform II S.C.Sp. SICAV-RAIF - Credit Suisse Climate Innovation Fund 18:15:16 / 30.06.24 |
USD | EuroPerformance USD | 58051583 | 0.9856 | |
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Manulife Global Fund SICAV - ASEAN Equity Fund 21:15:23 / 07.11.25 |
USD | Consolidated Fund Values Global | 32200870 | 1.644 | |
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Manulife Global Fund SICAV - ASEAN Equity Fund 21:15:23 / 07.11.25 |
USD | Consolidated Fund Values EEA | 32200870 | 1.644 | |
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Mediobanca SICAV - C-Quadrat Euro Investments Plus 13:50:16 / 19.07.24 |
EUR | Consolidated Fund Values Global | 11896982 | 149.66 | |
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Mediobanca SICAV - C-Quadrat Euro Investments Plus 13:50:16 / 19.07.24 |
EUR | EuroPerformance EUR | 11896982 | 149.66 |