Nombre ISIN |
Tipo de beneficio Divisa |
Sociedad de fondos | Prec. de rescate Fecha |
Rendimiento 3 meses | Rendimiento 1 año | Rendimiento 3 años | Rendimiento 5 años | SR (1A) Volatilidad (1A) |
||
---|---|---|---|---|---|---|---|---|---|---|
DB Bolsa Global FI ES0125756009 |
reinvestment 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 |
reinvestment 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 |
reinvestment EUR |
DWS SGIIC | 11.7533 20/01/2025 |
+0.39% | +6.40% | +1.75% | +5.48% | 1.41 2.66% |
||
DB Foncreativo FI ES0138535036 |
reinvestment 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 |
reinvestment EUR |
DWS SGIIC | 12.6174 20/01/2025 |
+0.85% | +9.26% | +5.43% | +8.81% | 1.57 4.21% |