DWS Invest Gl.Inf.EUR PFD/  LU2194936147  /

Fonds
NAV2024-08-26 Chg.+1.0300 Type of yield Investment Focus Investment company
113.0000EUR +0.92% paying dividend Equity Worldwide DWS Investment SA 
  • Dividends adjusted Dividends adjusted

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2020 - - - - - - - - -0.38 -2.31 7.49 -4.02 -
2021 -0.40 0.82 8.62 2.08 1.09 2.90 1.59 0.41 -0.16 4.28 -1.52 5.73 +28.07%
2022 -3.40 0.43 9.12 3.19 -0.59 -5.31 8.34 -2.29 -10.70 0.62 2.51 -4.84 -4.59%
2023 1.64 -2.43 -0.86 1.90 -3.94 0.80 0.24 -3.09 -2.86 -1.98 6.41 1.04 -3.52%
2024 -0.96 0.47 3.29 -1.13 1.28 0.77 4.46 1.46 - - - - -
Single months: Dividends not considered

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 9.79% 10.21% 11.51% 12.97% -%
Sharpe ratio 1.24 1.86 0.81 -0.03 -
Best month +4.46% +4.46% +6.41% +9.12% -
Worst month -1.13% -1.13% -3.09% -10.70% -
Maximum loss -4.92% -4.55% -9.94% -27.16% -
Outperformance - - - - -
 
All quotes in EUR

Share classes

Name   Type of yield Repurchase p. 1 Year 3 Years
DWS Invest Global Infrastructure... paying dividend 108.1700 +14.29% +15.15%
DWS Invest Global Infrastructure... paying dividend 127.8500 +18.24% +9.96%
DWS Invest Gl.Inf.FDH CHF (P) paying dividend 105.9200 +12.33% +2.39%
DWS Invest Gl.Inf.FDH (P) paying dividend 96.9000 +15.18% +6.87%
DWS Invest Gl.Inf.IDH (P) paying dividend 101.6100 +15.44% +7.50%
DWS Invest Gl.Inf.FCH SEK (P) reinvestment 1,566.5500 +15.14% +6.59%
DWS Invest Gl.Inf.IC250 reinvestment 131.6800 +18.52% +10.78%
DWS Invest Gl.Inf.ICH(P)100 reinvestment 140.0800 +17.83% +15.00%
DWS Invest Gl.Inf.ID250 paying dividend 109.6200 +18.53% +10.77%
DWS Invest Gl.Inf.IDQ paying dividend 114.8300 +18.24% +9.96%
DWS Invest Gl.Inf.IC reinvestment 110.4400 +18.23% +9.98%
DWS Invest Gl.Inf.EUR IC reinvestment 159.0500 +14.51% +15.81%
DWS Invest Gl.Inf.EUR ID paying dividend 117.4800 +14.53% +15.82%
DWS Invest Gl.Inf.SEK FC1000 reinvestment 1,421.8199 +10.05% +29.39%
DWS Invest Global Infrastructure... reinvestment 1,467.9100 +14.33% +4.27%
DWS Invest Gl.Inf.USD LCH(P) reinvestment 157.2500 +16.53% +11.30%
DWS Invest Gl.Inf.DH (P) RD paying dividend 107.0900 +17.43% +11.22%
DWS Invest Gl.Inf.LDH (P) paying dividend 103.4800 +14.35% +4.55%
DWS Invest Gl.Inf.USD LDMH(P) paying dividend 128.9600 +16.59% +11.41%
DWS Invest Gl.Inf.LCH(P) reinvestment 134.1300 +14.37% +4.44%
DWS Invest Gl.Inf.ND paying dividend 105.5700 +12.87% +10.89%
DWS Invest Gl.Inf.PFC reinvestment 135.0900 +12.37% +8.99%
DWS Invest Gl.Inf.EUR PFD paying dividend 113.0000 +12.83% +9.53%
DWS Invest Gl.Inf.USD TFCH (P) reinvestment 130.4700 +17.53% +13.99%
DWS Invest Global Infrastructure... paying dividend 86.1300 +12.88% -
DWS Invest Gl.Inf.PFDQ paying dividend 84.5900 +12.32% -
DWS Invest Global Infrastructure... paying dividend 103.3700 +13.40% -
DWS Invest Global Infrastructure... reinvestment 230.9500 +14.29% +15.15%
DWS Invest Gl.Inf.FC USD reinvestment 171.3700 +18.02% +9.33%
DWS Invest Gl.Inf.FCH (P) reinvestment 144.1500 +15.26% +6.91%
DWS Invest Gl.Inf.FDM paying dividend 127.3400 +18.01% +9.32%
DWS Invest Global Infrastructure... reinvestment 180.1700 +12.66% +10.24%
DWS Invest Gl.Inf.D RD paying dividend 138.2000 +12.69% +13.74%
DWS Invest Gl.Inf.TFC reinvestment 153.0800 +14.29% +15.15%
DWS Invest Gl.Inf.TFD paying dividend 118.4200 +14.30% +15.15%
DWS Invest Gl.Inf.EUR TFCH (P) reinvestment 133.6900 +15.26% +6.93%
DWS Invest Global Infrastructure... reinvestment 203.2100 +13.44% +12.58%
DWS Invest Global Infrastructure... paying dividend 156.2500 +13.44% +12.58%
DWS Invest Global Infrastructure... reinvestment 179.7900 +17.14% +6.90%
DWS Invest Global Infrastructure... paying dividend 117.4300 +17.14% +6.90%
DWS Invest Gl.Inf.LCH reinvestment 190.6300 +10.57% +7.85%
DWS Invest Gl.Inf.LDMH (P) paying dividend 7.4800 +14.41% +7.98%

Performance

YTD  
+9.92%
6 Months  
+10.67%
1 Year  
+12.83%
3 Years  
+9.53%
5 Years     -
10 Years     -
Since start  
+30.11%
Year
2023
  -3.52%
2022
  -4.59%
2021  
+28.07%
 

Dividends

2024-03-08 4.96 EUR
2023-03-10 4.75 EUR
2022-03-04 4.81 EUR
2021-03-05 1.38 EUR