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 |
31/01/2024 |
12135.89 EUR |
12499.97 EUR
12135.89 EUR |
2.66 % |
7.07 %
| |
DWS Multi Opportunities LD LU0989117667 / 23220486 |
Fund of Funds / Growth-oriented |
31/01/2024 |
133.11 EUR |
138.43 EUR
133.11 EUR |
4.35 % |
8.45 %
| |
DWS TRC Global Growth DE000DWS1W80 / 21048490 |
Equity Funds / Growth-oriented |
31/01/2024 |
187.05 EUR |
196.40 EUR
187.05 EUR |
9.89 % |
25.31 %
| |
DWS ESG Defensiv LC DE000DWS1UR7 / 21703560 |
Balanced Funds / Income-oriented |
31/01/2024 |
122.62 EUR |
126.30 EUR
122.62 EUR |
3.68 % |
6.91 %
| |
grundbesitz Fokus Deutschland RC DE0009807081 / |
Open ended Real Estate Funds / Income-oriented | N/A | 53.68 EUR |
56.36 EUR
53.68 EUR |
2.71 % |
0.81 %
| |
DWS Invest II Global Equity High Conviction Fund LC LU0826452848 / 20693697 |
Equity Funds / Growth-oriented |
31/01/2024 |
311.66 EUR |
328.06 EUR
311.66 EUR |
9.41 % |
30.60 %
| |
DB Advisors EU Enhanced Strategy C LU0799656938 / |
Equity Funds / Risk-tolerant | N/A | |||||
DWS Qi Eurozone Equity RC DE0009778563 / 874875 |
Equity Funds / Growth-oriented |
31/01/2024 |
151.51 EUR |
159.09 EUR
151.51 EUR |
11.40 % |
22.12 %
| |
DWS Life Cycle Balance I LU0418623863 / 11698692 |
Pension Funds / Growth-oriented |
31/01/2024 |
136.32 EUR |
137.41 EUR
136.32 EUR |
4.81 % |
11.13 %
| |
Zurich Premium Multi Asset Defensiv LU0418624085 / 11698694 |
Pension Funds / Growth-oriented |
31/01/2024 |
135.24 EUR |
136.33 EUR
135.24 EUR |
3.35 % |
8.46 %
|