Invest

Performance 1 year

Volatility 1 year

Name
ISIN Valor
Category / Investor Profile Morningstar NAV Issue
Redemption
Volatility
1 year
Performance
1 year
DWS Institutional Multi Asset Total Return IC
LU0891000118 / 21268798
Balanced Funds / Income-oriented
* * * *

29/02/2024
12004.31 EUR 12364.44 EUR
12004.31 EUR
2.80 % 5.56 %
Performance DWS Institutional Multi Asset Total Return IC
DWS Multi Opportunities LD
LU0989117667 / 23220486
Fund of Funds / Growth-oriented
* * *

29/02/2024
130.79 EUR 136.03 EUR
130.79 EUR
4.53 % 5.13 %
Performance DWS Multi Opportunities LD
DWS TRC Global Growth
DE000DWS1W80 / 21048490
Equity Funds / Growth-oriented
* * * * *

29/02/2024
179.88 EUR 188.88 EUR
179.88 EUR
10.52 % 20.29 %
Performance DWS TRC Global Growth
DWS ESG Defensiv LC
DE000DWS1UR7 / 21703560
Balanced Funds / Income-oriented
* * * *

29/02/2024
120.31 EUR 123.92 EUR
120.31 EUR
3.88 % 4.23 %
Performance DWS ESG Defensiv LC
grundbesitz Fokus Deutschland RC
DE0009807081 /
Open ended Real Estate Funds / Income-oriented N/A 53.69 EUR 56.37 EUR
53.69 EUR
0.46 % 0.30 %
Performance grundbesitz Fokus Deutschland RC
DWS Invest II Global Equity High Conviction Fund LC
LU0826452848 / 20693697
Equity Funds / Growth-oriented
* * * *

29/02/2024
304.05 EUR 320.06 EUR
304.05 EUR
9.69 % 23.66 %
Performance DWS Invest II Global Equity High Conviction Fund LC
DB Advisors EU Enhanced Strategy C
LU0799656938 /
Equity Funds / Risk-tolerant N/A
DWS Qi Eurozone Equity RC
DE0009778563 / 874875
Equity Funds / Growth-oriented
* * * * *

29/02/2024
148.43 EUR 155.86 EUR
148.43 EUR
11.70 % 15.10 %
Performance DWS Qi Eurozone Equity RC
DWS Life Cycle Balance I
LU0418623863 / 11698692
Pension Funds / Growth-oriented
* * *

29/02/2024
133.75 EUR 134.83 EUR
133.75 EUR
5.02 % 8.81 %
Performance DWS Life Cycle Balance I
Zurich Premium Multi Asset Defensiv
LU0418624085 / 11698694
Pension Funds / Growth-oriented
* * *

29/02/2024
133.71 EUR 134.78 EUR
133.71 EUR
3.42 % 7.06 %
Performance Zurich Premium Multi Asset Defensiv

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