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Place fields into columns; you may combine multiple fields into the same column. If you do, the separator in the column specified will be used to separate the fields. Check the sortable box to make that column click sortable, and check the default sort radio to determine which column will be sorted by default, if any. You may control column order and field labels in the fields section.
Field
Column
Align
Separator
Sortable
Default order
Default sort
Hide empty column
Responsive
Fund: Name
Columns for name
Fund: Name
Currency Code
Lancierungs-Datum
Max. jährliche Verwaltungsgebühren
Laufende Kosten
TER
NAV Date
Fondsvolumen
Morningstar Rating
Strategy Provider
Ruhender Fonds seit
Alignment for name
None
Left
Center
Right
Separator for name
Sortable for name
Default sort order for name
Ascending
Descending
Default sort for name
Hide empty column for name
Responsive setting for name
High
Medium
Low
Currency Code
Columns for currency_code
Fund: Name
Currency Code
Lancierungs-Datum
Max. jährliche Verwaltungsgebühren
Laufende Kosten
TER
NAV Date
Fondsvolumen
Morningstar Rating
Strategy Provider
Ruhender Fonds seit
Alignment for currency_code
None
Left
Center
Right
Separator for currency_code
Sortable for currency_code
Default sort order for currency_code
Ascending
Descending
Default sort for currency_code
Hide empty column for currency_code
Responsive setting for currency_code
High
Medium
Low
Lancierungs-Datum
Columns for inception_date
Fund: Name
Currency Code
Lancierungs-Datum
Max. jährliche Verwaltungsgebühren
Laufende Kosten
TER
NAV Date
Fondsvolumen
Morningstar Rating
Strategy Provider
Ruhender Fonds seit
Alignment for inception_date
None
Left
Center
Right
Separator for inception_date
Sortable for inception_date
Default sort order for inception_date
Ascending
Descending
Default sort for inception_date
Hide empty column for inception_date
Responsive setting for inception_date
High
Medium
Low
Max. jährliche Verwaltungsgebühren
Columns for max_management_fee
Fund: Name
Currency Code
Lancierungs-Datum
Max. jährliche Verwaltungsgebühren
Laufende Kosten
TER
NAV Date
Fondsvolumen
Morningstar Rating
Strategy Provider
Ruhender Fonds seit
Alignment for max_management_fee
None
Left
Center
Right
Separator for max_management_fee
Sortable for max_management_fee
Default sort order for max_management_fee
Ascending
Descending
Default sort for max_management_fee
Hide empty column for max_management_fee
Responsive setting for max_management_fee
High
Medium
Low
Laufende Kosten
Columns for kiid_ongoing_charge
Fund: Name
Currency Code
Lancierungs-Datum
Max. jährliche Verwaltungsgebühren
Laufende Kosten
TER
NAV Date
Fondsvolumen
Morningstar Rating
Strategy Provider
Ruhender Fonds seit
Alignment for kiid_ongoing_charge
None
Left
Center
Right
Separator for kiid_ongoing_charge
Sortable for kiid_ongoing_charge
Default sort order for kiid_ongoing_charge
Ascending
Descending
Default sort for kiid_ongoing_charge
Hide empty column for kiid_ongoing_charge
Responsive setting for kiid_ongoing_charge
High
Medium
Low
TER
Columns for ter
Fund: Name
Currency Code
Lancierungs-Datum
Max. jährliche Verwaltungsgebühren
Laufende Kosten
TER
NAV Date
Fondsvolumen
Morningstar Rating
Strategy Provider
Ruhender Fonds seit
Alignment for ter
None
Left
Center
Right
Separator for ter
Sortable for ter
Default sort order for ter
Ascending
Descending
Default sort for ter
Hide empty column for ter
Responsive setting for ter
High
Medium
Low
NAV Date
Columns for nav_date
Fund: Name
Currency Code
Lancierungs-Datum
Max. jährliche Verwaltungsgebühren
Laufende Kosten
TER
NAV Date
Fondsvolumen
Morningstar Rating
Strategy Provider
Ruhender Fonds seit
Alignment for nav_date
None
Left
Center
Right
Separator for nav_date
Sortable for nav_date
Default sort order for nav_date
Ascending
Descending
Default sort for nav_date
Hide empty column for nav_date
Responsive setting for nav_date
High
Medium
Low
Fondsvolumen
Columns for nav
Fund: Name
Currency Code
Lancierungs-Datum
Max. jährliche Verwaltungsgebühren
Laufende Kosten
TER
NAV Date
Fondsvolumen
Morningstar Rating
Strategy Provider
Ruhender Fonds seit
Alignment for nav
None
Left
Center
Right
Separator for nav
Sortable for nav
Default sort order for nav
Ascending
Descending
Default sort for nav
Hide empty column for nav
Responsive setting for nav
High
Medium
Low
Morningstar Rating
Columns for rating_overall
Fund: Name
Currency Code
Lancierungs-Datum
Max. jährliche Verwaltungsgebühren
Laufende Kosten
TER
NAV Date
Fondsvolumen
Morningstar Rating
Strategy Provider
Ruhender Fonds seit
Alignment for rating_overall
None
Left
Center
Right
Separator for rating_overall
Sortable for rating_overall
Default sort order for rating_overall
Ascending
Descending
Default sort for rating_overall
Hide empty column for rating_overall
Responsive setting for rating_overall
High
Medium
Low
Strategy Provider
Columns for strategy_provider
Fund: Name
Currency Code
Lancierungs-Datum
Max. jährliche Verwaltungsgebühren
Laufende Kosten
TER
NAV Date
Fondsvolumen
Morningstar Rating
Strategy Provider
Ruhender Fonds seit
Alignment for strategy_provider
None
Left
Center
Right
Separator for strategy_provider
Sortable for strategy_provider
Default sort order for strategy_provider
Ascending
Descending
Default sort for strategy_provider
Hide empty column for strategy_provider
Responsive setting for strategy_provider
High
Medium
Low
Ruhender Fonds seit
Columns for dormancy_status
Fund: Name
Currency Code
Lancierungs-Datum
Max. jährliche Verwaltungsgebühren
Laufende Kosten
TER
NAV Date
Fondsvolumen
Morningstar Rating
Strategy Provider
Ruhender Fonds seit
Alignment for dormancy_status
None
Left
Center
Right
Separator for dormancy_status
Sortable for dormancy_status
Default sort order for dormancy_status
Ascending
Descending
Default sort for dormancy_status
Hide empty column for dormancy_status
Responsive setting for dormancy_status
High
Medium
Low
None
No default sort
Grouping field Nr.1
- None -
Fund: Name
Currency Code
Lancierungs-Datum
Max. jährliche Verwaltungsgebühren
Laufende Kosten
TER
NAV Date
Fondsvolumen
Morningstar Rating
Strategy Provider
Ruhender Fonds seit
You may optionally specify a field by which to group the records. Leave blank to not group.
Use rendered output to group rows
If enabled the rendered output of the grouping field is used to group the rows.
Remove tags from rendered output
Override normal sorting if click sorting is used
Enable Drupal style "sticky" table headers
(Sticky header effects will not be active for preview below, only on live output.)
Caption for the table
A title semantically associated with your table for increased accessibility.
Table details
Summary title
Table description
Provide additional details about the table to increase accessibility.
Show the empty text in the table
Per default the table is hidden for an empty view. With this option it is possible to show an empty table with the text in it.
Place fields into columns; you may combine multiple fields into the same column. If you do, the separator in the column specified will be used to separate the fields. Check the sortable box to make that column click sortable, and check the default sort radio to determine which column will be sorted by default, if any. You may control column order and field labels in the fields section.
Show the first field as the table header
Outputs the flipped table's row for the first field inside a table header element.