Name
ISIN |
Category / Investor Profile | Morningstar | NAV |
Issue
Redemption |
Volatility 1 year |
Performance ¹ 1 year | |
---|---|---|---|---|---|---|---|
DWS Invest ESG Floating Rate Notes LC LU1965927921 |
Bond Funds / Risk-averse |
28/03/2024 |
104.73 EUR |
105.78 EUR
104.73 EUR |
0.23 % |
4.81 %
| |
DWS Invest Short Duration Credit LC LU0236145453 |
Bond Funds / Growth-oriented |
28/03/2024 |
133.22 EUR |
137.34 EUR
133.22 EUR |
1.19 % |
6.02 %
| |
DWS Invest Corporate Hybrid Bonds LC LU1245923484 |
Bond Funds / Growth-oriented |
28/03/2024 |
117.49 EUR |
121.12 EUR
117.49 EUR |
2.12 % |
10.14 %
| |
DWS Invest Global Bonds FC LU0616846035 |
Bond Funds / Income-oriented |
28/03/2024 |
103.47 EUR |
103.47 EUR
103.47 EUR |
2.39 % |
4.39 %
| |
DWS Invest Credit Opportunities FC LU1968688876 |
Bond Funds / Growth-oriented |
28/03/2024 |
107.22 EUR |
107.22 EUR
107.22 EUR |
1.92 % |
5.75 %
| |
DWS Invest China Bonds USD LC LU0616856422 |
Bond Funds / Risk-tolerant | n/a | 131.05 USD |
135.11 USD
131.05 USD |
2.19 % |
0.34 %
| |
DWS Invest Corporate Green Bonds LD LU1873225616 |
Bond Funds / Income-oriented |
28/03/2024 |
94.50 EUR |
97.42 EUR
94.50 EUR |
3.28 % |
7.11 %
| |
DWS Invest ESG Global Corporate Bonds FC LU0982744301 |
Bond Funds / Risk-tolerant |
28/03/2024 |
102.07 EUR |
102.07 EUR
102.07 EUR |
5.55 % |
4.15 %
| |
DWS Invest Emerging Markets Opportunities LC LU1747710736 |
Bond Funds / Growth-oriented |
28/03/2024 |
87.15 EUR |
89.84 EUR
87.15 EUR |
5.00 % |
12.38 %
| |
DWS Invest Global High Yield Corporates USD FC LU1506496097 |
Bond Funds / Growth-oriented |
28/03/2024 |
133.72 USD |
133.72 USD
133.72 USD |
3.97 % |
8.82 %
|
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.