Titel
ISIN
  Ertragstyp
Währung
Fondsgesellschaft Rückn. Preis
Datum
Perf. 3M Perf. 1J Perf. 3J Perf. 5J SR (1J)
Vola. (1J)
 
DWS German Small/Mid Cap TFC
DE000DWS2187
thesaurierend
EUR
DWS Investment GmbH 184,8200
22.01.2025
-1,28% +1,30% -19,09% -3,28% -0,09
15,05%
DWS Global Communications ND
DE0008474214
ausschüttend
EUR
DWS Investment GmbH 284,1300
22.01.2025
+8,91% +27,04% +31,97% +51,27% 2,12
11,5%
DWS Global Emerging Markets Equitie...
DE0009773010
ausschüttend
EUR
DWS Investment GmbH 127,4500
22.01.2025
-1,05% +17,05% +0,03% +4,28% 0,97
14,76%
DWS Global Growth LD
DE0005152441
ausschüttend
EUR
DWS Investment GmbH 259,7600
22.01.2025
+8,58% +27,01% +41,53% +77,25% 1,60
15,16%
DWS Global Growth TFC
DE000DWS2UD5
thesaurierend
EUR
DWS Investment GmbH 256,1200
22.01.2025
+8,77% +27,84% +44,32% +83,13% 1,66
15,16%
DWS Global Growth TFD
DE000DWS2UE3
ausschüttend
EUR
DWS Investment GmbH 249,5300
22.01.2025
+8,77% +27,84% +44,32% +83,09% 1,66
15,15%
DWS Global Hybrid Bond Fund FC
DE000DWS1U41
thesaurierend
EUR
DWS Investment GmbH 55,0400
22.01.2025
+1,14% +9,18% +7,67% +10,90% 3,39
1,92%
DWS Global Hybrid Bond Fund FD
DE000DWS1U58
ausschüttend
EUR
DWS Investment GmbH 38,2400
22.01.2025
+1,15% +9,18% +7,66% +10,87% 3,37
1,93%
DWS Global Hybrid Bond Fund LD
DE0008490988
ausschüttend
EUR
DWS Investment GmbH 37,3600
22.01.2025
+1,07% +8,91% +6,87% +9,54% 3,21
1,94%
DWS Global Hybrid Bond Fund TFC
DE000DWS2SD9
thesaurierend
EUR
DWS Investment GmbH 119,6400
22.01.2025
+1,13% +9,18% +7,67% +10,89% 3,38
1,92%
DWS Global Hybrid Bond Fund TFCH
DE000DWS3E07
thesaurierend
USD
DWS Investment GmbH 113,5200
22.01.2025
+1,55% +10,92% +13,92% - 4,28
1,93%
DWS Global Hybrid Bond Fund TFCH CH...
DE000DWS3EZ0
thesaurierend
CHF
DWS Investment GmbH 101,4900
22.01.2025
+0,50% +6,41% +2,13% - 1,94
1,92%
DWS Global Hybrid Bond Fund TFD
DE000DWS2SE7
ausschüttend
EUR
DWS Investment GmbH 92,4000
22.01.2025
+1,13% +9,18% +7,66% +10,90% 3,38
1,92%
DWS Global Natural Resources Equity...
DE0008474123
ausschüttend
EUR
DWS Investment GmbH 79,4200
22.01.2025
-0,08% +11,62% +20,06% +51,67% 0,68
13,06%
DWS Global Water FC
DE000DWS2GG7
thesaurierend
EUR
DWS Investment GmbH 198,0300
22.01.2025
-1,12% +13,68% +14,87% +42,33% 0,87
12,67%
DWS Global Water LD
DE000DWS0DT1
ausschüttend
EUR
DWS Investment GmbH 75,1900
22.01.2025
-1,30% +12,88% +12,49% +37,43% 0,81
12,66%
DWS Healthy Living FC
DE000DWS2ED9
thesaurierend
EUR
DWS Investment GmbH 390,8500
22.01.2025
-0,86% +6,57% +8,27% +26,88% 0,36
10,72%
DWS Healthy Living NC
DE0009769851
thesaurierend
EUR
DWS Investment GmbH 365,8100
22.01.2025
-1,07% +5,66% +5,54% +21,86% 0,28
10,72%
DWS Internationale Renten Typ O NC
DE0009769703
thesaurierend
EUR
DWS Investment GmbH 115,7100
22.01.2025
+0,95% +2,86% -10,53% -13,76% 0,03
5,21%
DWS Nomura Japan Growth FC
DE000DWS1171
thesaurierend
EUR
DWS Investment GmbH 115,1300
22.01.2025
+5,43% +9,74% +46,38% +76,72% 0,28
25,05%