 |
Gewahlte Kriterien:
KAG: DWS Investment GmbH
Fondstyp: alle
|
Sortiert nach: Performance 5 Jahre |
Suche ändern
Neue Suche |
| |
|
| Klicken Sie auf eine Spaltenüberschrift, um zu sortieren. |
|
DWS1UR | DWS CIO VIEW DEFENSIVE LC | EUR | 137,05 | 3.2. |  | 1,48 | 5,77 | 17,52 | 14,11 |  | 849098 | DWS GLOBAL HYBRID BOND FUND LD | EUR | 38,04 | 3.2. |  | 0,79 | 6,03 | 21,72 | 13,79 |  | 531840 | DWS ESG STIFTUNGSFONDS LD | EUR | 50,97 | 3.2. |  | 1,07 | 4,70 | 17,67 | 10,39 |  | DWS22Q | DWS ESG STIFTUNGSFONDS LC | EUR | 116,79 | 3.2. |  | 1,06 | 4,67 | 17,64 | 10,38 |  | 847423 | DWS EURO FLEXIZINS NC | EUR | 74,95 | 3.2. |  | 0,24 | 2,66 | 11,02 | 10,14 |  | 979952 | RENTEN STRATEGIE K | EUR | 59,12 | 3.2. |  | 0,54 | 4,34 | 15,24 | 9,87 |  | 977301 | DWS GLOBAL EMERGING MARKETS EQUITIES ND | EUR | 156,12 | 3.2. |  | 6,07 | 23,19 | 32,59 | 8,12 |  | 848665 | DWS CONCEPT GS&P FOOD LD | EUR | 357,15 | 3.2. |  | 1,20 | -7,10 | -8,37 | 7,35 |  | DWS24J | DWS EUROZONE BONDS FLEXIBLE FC50 | EUR | 36,04 | 3.2. |  | 0,56 | 3,65 | 14,85 | 7,33 |  | DWS0XF | FOS RENDITE UND NACHHALTIGKEIT A | EUR | 122,80 | 3.2. |  | 1,24 | 2,84 | 15,12 | 7,12 |  | DWS24H | DWS EUROZONE BONDS FLEXIBLE FC10 | EUR | 35,90 | 3.2. |  | 0,53 | 3,55 | 14,59 | 6,97 |  | DWS24G | DWS EUROZONE BONDS FLEXIBLE FC | EUR | 35,70 | 3.2. |  | 0,54 | 3,48 | 14,31 | 6,50 |  | 847403 | DWS EUROZONE BONDS FLEXIBLE LD | EUR | 31,78 | 3.2. |  | 0,67 | 3,28 | 13,68 | 5,30 |  | DWS2SC | DWS ESG CONVERTIBLES TFD | EUR | 124,95 | 3.2. |  | 1,70 | 10,47 | 21,03 | 4,81 |  | DWS1U7 | DWS ESG CONVERTIBLES FC | EUR | 171,43 | 3.2. |  | 1,70 | 10,48 | 21,02 | 4,79 |  | DWS29J | DWS EUROZONE BONDS FLEXIBLE LC | EUR | 34,50 | 3.2. |  | 0,50 | 3,11 | 13,08 | 4,67 |  | DWS2SB | DWS ESG CONVERTIBLES TFC | EUR | 128,11 | 3.2. |  | 1,70 | 10,48 | 20,86 | 4,66 |  | 847426 | DWS ESG CONVERTIBLES LD | EUR | 159,80 | 3.2. |  | 1,67 | 10,22 | 20,04 | 3,42 |  | A1JSUZ | FOS FOCUS GREEN BONDS | EUR | 10,213,75 | 3.2. |  | 0,53 | 1,46 | 9,13 | -0,52 |  | DWS1UQ | DWS COVERED BOND FUND ID | EUR | 53,23 | 3.2. |  | 0,47 | 1,90 | 8,72 | -5,16 |  |
|
|
|