Titel
ISIN
  Ertragstyp
Währung
Fondsgesellschaft Rückn. Preis
Datum
Perf. 3M Perf. 1J Perf. 3J Perf. 5J SR (1J)
Vola. (1J)
 
DB Bolsa Global FI
ES0125756009
thesaurierend
EUR
DWS SGIIC 19,2343
21.01.2025
+3,64% +19,09% +25,74% +49,09% 1,63
10,09%
DB Conservador ESG A FI
ES0139012001
thesaurierend
EUR
DWS SGIIC 11,3430
20.01.2025
+0,30% +6,03% +0,68% +3,65% 1,27
2,66%
DB Conservador ESG B FI
ES0139012035
thesaurierend
EUR
DWS SGIIC 11,7533
20.01.2025
+0,39% +6,40% +1,75% +5,48% 1,41
2,66%
DB Foncreativo FI
ES0138535036
thesaurierend
EUR
DWS SGIIC 10,9246
21.01.2025
+0,93% +5,62% +2,96% +5,60% 1,42
2,08%
DB Moderado ESGA FI
ES0145553006
thesaurierend
EUR
DWS SGIIC 12,6174
20.01.2025
+0,85% +9,26% +5,43% +8,81% 1,57
4,21%