Name
ISIN Valor |
Category / Investor Profile | Morningstar | NAV |
Issue
Redemption |
Volatility 1 year |
Performance 1 year | |
---|---|---|---|---|---|---|---|
DWS Invest ESG Floating Rate Notes LC LU1965927921 / 47028201 |
Bond Funds / Risk-averse |
31/01/2024 |
104.17 EUR |
105.23 EUR
104.17 EUR |
0.24 % |
4.79 %
| |
DWS Invest Euro High Yield Corporates LC LU0616839501 / 18904691 |
Bond Funds / Growth-oriented |
31/01/2024 |
168.52 EUR |
173.73 EUR
168.52 EUR |
2.01 % |
9.46 %
| |
DWS Internationale Renten Typ O NC DE0009769703 / 328951 |
Bond Funds / Growth-oriented |
31/01/2024 |
113.28 EUR |
113.28 EUR
113.28 EUR |
5.54 % |
-1.50 %
| |
DWS Invest Short Duration Credit LC LU0236145453 / 2468817 |
Bond Funds / Growth-oriented |
31/01/2024 |
132.67 EUR |
136.77 EUR
132.67 EUR |
1.25 % |
6.21 %
| |
DWS Invest Low Carbon Corporate Bonds LD LU2331315981 / 111056947 |
Bond Funds / Income-oriented | N/A | 88.89 EUR |
91.64 EUR
88.89 EUR |
3.70 % |
8.05 %
| |
DWS Invest Corporate Hybrid Bonds LC LU1245923484 / 28773914 |
Bond Funds / Growth-oriented |
31/01/2024 |
117.02 EUR |
120.63 EUR
117.02 EUR |
2.11 % |
10.30 %
| |
DWS USD Floating Rate Notes USD LD LU0041580167 / 786422 |
Bond Funds / Growth-oriented | N/A | 195.56 USD |
197.52 USD
195.56 USD |
0.22 % |
6.82 %
| |
DWS ESG Zinseinkommen LD LU0649391066 / 13987644 |
Bond Funds / Income-oriented | N/A | 93.59 EUR |
96.41 EUR
93.59 EUR |
2.41 % |
6.07 %
| |
DWS Covered Bond Fund LD DE0008476532 / 330663 |
Bond Funds / Income-oriented | N/A | 48.85 EUR |
50.07 EUR
48.85 EUR |
3.30 % |
3.19 %
| |
DWS Invest Emerging Markets IG Sovereign Debt IDH LU0982740572 / 27038311 |
Bond Funds / Growth-oriented |
31/01/2024 |
63.26 EUR |
63.26 EUR
63.26 EUR |
14.36 % |
-9.16 %
|