Superfund: Alle Fonds mit Wochenplus
Superfund Q-AG** (österr. WPKNR: 097 979/dt. WPKNR: 630824) 12.12.2006 Index* 6187 NAV per Unit: 4,4963 Change last week: 1,0% MTD 2,7% YTD 3,7% Change 3 years: 25,6% Change 5 years: 89,7% Since inception: 518,7% Start on 08.03.1996 with Index: 1.000 Superfund GCT USD** (WPKNR:986224) 12.12.2006 NAV* 2443 Change last week: 3,0% MTD 5,6% YTD 2,7% Change 3 years: 20,6% Change 5 years: 111,1% Since inception: 343,2% Start on 01.01.2000 with NAV: 551,16 USD Superfund GCT EUR** (WPKNR:766423) 12.12.2006 NAV* 1756 Change last week: 3,1% MTD 5,8% YTD 1,1% Change 3 years: 15,2% Change 5 years: 78,6% Since inception: 75,6% Start on 12.11.2001 with NAV: 1.000 EUR Superfund HF A** (WPKNR:657329) 12.12.2006 NAV* 23,85 Change last week: 0,5% MTD 1,5% YTD 0,7% Change 3 years: 10,7% Change 5 years: 60,5% Since inception: 138,5% Start on 10.07.2000 with NAV: 10 EUR Superfund A** (ISIN:AT0000641162) 12.12.2006 Index* 817 NAV per Unit: 0,0082 Change last week: 0,5% MTD 1,6% YTD -1,9% Change 3 years: -7,5% Since inception: -18,3% Start on 01.10.2003 with Index 1.000 Superfund B** (ISIN:AT0000641170) 12.12.2006 Index* 783 NAV per Unit: 0,0078 Change last week: 0,8% MTD 3,0% YTD 2,1% Change 3 years: -5,9% Since inception: -21,7% Start on 01.10.2003 with Index 1.000 Superfund C** (ISIN:AT0000641188) 12.12.2006 Index* 666 NAV per Unit: 0,6660 Change last week: 0,9% MTD 4,0% YTD 2,9% Change 3 years: -13,5% Since inception: -33,4% Start on 01.10.2003 with Index 1.000 * Bitte beachten Sie, dass es sich bei den oben angeführten Indizes/NAVs um indikative Werte handelt. * Please note that the indices/NAVs provided above are merely indicative. **Geschlossener Fonds/ closed fund