Название
ISIN
  Тип доходности
Валюта
Инвестиционная компания Цена выкупа
Дата
Перф. 3M Перф. 1Р Перф. 3Г Перф. 5Г SR (1Г)
Vola. (1Г)
 
DekaStruktur: Wachstum
LU0098472516
paying dividend
EUR
Deka International 42.3800
24.01.2025
+1.85% +13.59% +8.80% +1.25% 1.93
5.67%
1822-Struktur Wachstum
LU0151487302
paying dividend
EUR
Deka International 55.2600
24.01.2025
+1.99% +13.49% +7.95% -0.41% 1.87
5.78%
SK UnnaKamen Impact Invest
LU2531392699
paying dividend
EUR
Deka International 117.3400
24.01.2025
+2.86% +13.37% - - 1.52
7.04%
Naspa Nachhaltigkeit PortfolioSelec...
LU0104456800
paying dividend
EUR
Deka International 47.2300
24.01.2025
+1.70% +13.31% +8.05% -0.49% 1.64
6.49%
DekaStruktur: V Wachstum
LU0278675292
paying dividend
EUR
Deka International 106.5800
24.01.2025
+1.65% +12.82% +6.72% +13.01% 1.80
5.64%
KölnFondsStruktur: Wachstum
LU0101437217
paying dividend
EUR
Deka International 44.4000
24.01.2025
+1.69% +12.75% +7.02% +0.87% 1.76
5.72%
BerolinaCapital Wachstum
LU0096429351
paying dividend
EUR
Deka International 41.6600
24.01.2025
+1.73% +11.42% +6.72% +0.69% 1.63
5.36%
LBBW Balance CR 40
LU0097712045
paying dividend
EUR
Deka International 55.3200
24.01.2025
+2.05% +10.15% +5.78% +15.46% 1.55
4.84%
Deka-Nachhaltigkeit Balance CF (A)
LU0703711118
paying dividend
EUR
Deka International 127.1000
24.01.2025
+2.29% +9.44% +8.38% +13.28% 1.43
4.74%
DekaStruktur: 4 ErtragPlus
LU0185900692
paying dividend
EUR
Deka International 43.9000
24.01.2025
+0.92% +8.55% +1.88% -2.90% 1.69
3.47%
DekaStruktur: 3 ErtragPlus
LU0124426619
paying dividend
EUR
Deka International 42.5300
24.01.2025
+0.93% +8.54% +1.94% -2.88% 1.69
3.47%
DekaStruktur: ErtragPlus
LU0098472433
paying dividend
EUR
Deka International 40.6200
24.01.2025
+0.92% +8.52% +1.84% -3.00% 1.69
3.46%
DekaStruktur: 2 ErtragPlus
LU0109011469
paying dividend
EUR
Deka International 40.9500
24.01.2025
+0.91% +8.47% +1.83% -2.93% 1.68
3.45%
Naspa Nachhaltigkeit PortfolioSelec...
LU0104455588
paying dividend
EUR
Deka International 46.3900
24.01.2025
+0.80% +8.15% +2.75% -2.53% 1.42
3.87%
Haspa MultiInvest Wachstum
LU0194946595
paying dividend
EUR
Deka International 44.5500
24.01.2025
+1.67% +8.13% +7.79% -1.67% 1.26
4.34%
KölnFondsStruktur: Ertrag
LU0101436672
paying dividend
EUR
Deka International 43.3100
24.01.2025
+0.86% +8.05% +0.65% -3.18% 1.53
3.53%
Naspa-Vermögensverwaltung Individue...
LU0384799549
paying dividend
EUR
Deka International 105.1100
24.01.2025
+2.07% +8.03% +9.26% +9.63% 2.36
2.27%
DekaStruktur: V ErtragPlus
LU0278675029
paying dividend
EUR
Deka International 95.1800
24.01.2025
+0.85% +7.94% +0.14% +3.07% 1.51
3.49%
1822-Struktur Ertrag Plus
LU0151486320
paying dividend
EUR
Deka International 46.3300
24.01.2025
+1.00% +7.82% +0.89% -4.80% 1.44
3.58%
LBBW Balance CR 20
LU0097711666
paying dividend
EUR
Deka International 46.4100
24.01.2025
+1.38% +7.67% +3.33% +8.72% 1.44
3.47%