Название
ISIN
  Тип доходности
Валюта
Инвестиционная компания Цена выкупа
Дата
Перф. 3M Перф. 1Р Перф. 3Г Перф. 5Г SR (1Г)
Vola. (1Г)
 
DekaLuxTeam-EmergingMarkets
LU0350482435
paying dividend
EUR
Deka International 137.1700
23.01.2025
-1.22% +11.77% -9.89% -4.87% 0.69
13.25%
Deka-EM Bond TF
LU0350138573
paying dividend
EUR
Deka International 68.3200
23.01.2025
+0.15% +6.56% -10.56% -15.79% 0.90
4.3%
Deka-ZielGarant 2030-2033
LU0287949324
reinvestment
EUR
Deka International 99.4100
23.01.2025
-0.17% +2.99% -11.25% -10.15% 0.09
3.53%
DekaLux-Bond A
LU0011194601
paying dividend
EUR
Deka International 56.9200
23.01.2025
-0.72% +2.52% -16.32% -14.52% -0.03
4.77%
Deka-Europa Nebenwerte CF (A)
LU1496713741
paying dividend
EUR
Deka International 140.4700
23.01.2025
-0.87% +3.27% -17.48% +4.31% 0.04
13.8%
Deka-Deutschland Nebenwerte CF
LU0923076540
paying dividend
EUR
Deka International 207.3000
23.01.2025
-4.47% +1.55% -17.77% -2.16% -0.08
13.88%
Deka-ZielGarant 2034-2037
LU0287949837
reinvestment
EUR
Deka International 85.3600
23.01.2025
-0.85% +1.35% -21.12% -22.96% -0.23
5.66%
Deka-ZielGarant 2038-2041
LU0287949910
reinvestment
EUR
Deka International 78.7200
23.01.2025
-0.81% -0.15% -28.36% -28.82% -0.37
7.58%
Deka-ZielGarant 2042-2045
LU0287950256
reinvestment
EUR
Deka International 77.9500
23.01.2025
-1.08% -0.78% -32.58% -30.77% -0.37
9.44%
Deka-ZielGarant 2046-2049
LU0287950413
reinvestment
EUR
Deka International 76.6700
23.01.2025
-0.90% -0.80% -37.55% -36.32% -0.32
11.03%
Deka-ZielGarant 2050-2053
LU0287950686
reinvestment
EUR
Deka International 65.4800
23.01.2025
-0.83% -2.08% -43.04% -41.39% -0.38
12.67%
Deka-Globale Aktien Value CF
LU2471403951
paying dividend
EUR
Deka International 132.0100
23.01.2025
+4.08% +17.85% - - 1.63
9.29%
Deka-Globale Aktien Value I
LU2471404090
paying dividend
EUR
Deka International 133.2300
23.01.2025
+4.18% +18.27% - - 1.68
9.29%
SK UnnaKamen Impact Invest
LU2531392699
paying dividend
EUR
Deka International 117.5600
23.01.2025
+2.80% +14.03% - - 1.61
7.04%
Naspa-Vermögensverwaltung Individue...
LU0384799119
paying dividend
EUR
Deka International 139.4900
23.01.2025
+4.34% - - - -
-
Naspa-Vermögensverwaltung Individue...
LU0384799382
paying dividend
EUR
Deka International 119.3100
23.01.2025
+2.55% - - - -
-
Deka-RohstoffStrategie CF
LU2652768065
paying dividend
EUR
Deka International 114.0800
23.01.2025
+9.41% - - - -
-
Deka-ConvergenceAktien II CF
LU2790094101
paying dividend
EUR
Deka International 97.0300
23.01.2025
+10.51% - - - -
-
Deka-ConvergenceAktien II TF
LU2790094010
paying dividend
EUR
Deka International 87.3700
23.01.2025
+10.32% - - - -
-
Deka-ConvergenceAktien II F (T)
LU2790094283
paying dividend
EUR
Deka International 55.0400
23.01.2025
+10.37% - - - -
-