Invest

Performance 1 year

Volatility 1 year

Name
ISIN
Category / Investor Profile Morningstar NAV Issue
Redemption
Volatility
1 year
Performance ¹
1 year
DWS Invest ESG Real Assets LC
LU2548824452
Balanced Funds / Growth-oriented n/a 99.20 EUR 104.42 EUR
99.20 EUR
8.66 % 2.50 %
Performance DWS Invest ESG Real Assets LC
DWS Invest Conservative Opportunities LC
LU2034326152
Balanced Funds / Income-oriented
* * * *

28/03/2024
111.05 EUR 114.48 EUR
111.05 EUR
3.14 % 0.95 %
Performance DWS Invest Conservative Opportunities LC
DWS Invest ESG Multi Asset Income LD
LU1054320970
Balanced Funds / Growth-oriented
* *

28/03/2024
87.60 EUR 91.25 EUR
87.60 EUR
5.73 % 5.47 %
Performance DWS Invest ESG Multi Asset Income LD
DWS Strategic ESG Allocation Dynamic LC
LU1740985731
Balanced Funds / Growth-oriented
* * * *

28/03/2024
146.37 EUR 150.90 EUR
146.37 EUR
7.86 % 15.22 %
Performance DWS Strategic ESG Allocation Dynamic LC
DWS Invest Convertibles LC
LU0179219752
Balanced Funds / Growth-oriented
* *

28/03/2024
172.60 EUR 177.94 EUR
172.60 EUR
6.39 % 3.07 %
Performance DWS Invest Convertibles LC

1 Past performance is not a reliable indicator of future results. Performance shown below is net of fund fees. Funds performance calculation includes reinvested dividends.

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