Nombre
ISIN
  Tipo de beneficio
Divisa
Sociedad de fondos Prec. de rescate
Fecha
Rendimiento 3 meses Rendimiento 1 año Rendimiento 3 años Rendimiento 5 años SR (1A)
Volatilidad (1A)
 
Xtrackers IE Physical Silver ETC Se...
DE000A2T0VS9
reinvestment
USD
DWS Investment GmbH 47.0749
01/11/2024
+13.52% +44.39% +36.61% - 1.44
28.61%
Xtrackers IE Physical Gold GBP Hedg...
DE000A2UDH48
paying dividend
GBP
DWS Investment GmbH 32.3021
01/11/2024
+11.54% +36.52% +45.94% - 2.50
13.38%
DWS Artificial Intelligence ND
DE0008474149
paying dividend
EUR
DWS Investment GmbH 441.8400
31/10/2024
+9.23% +44.51% +24.39% +109.94% 2.32
17.86%
DWS Fintech FC
DE000DWS2MW2
reinvestment
EUR
DWS Investment GmbH 113.8000
01/11/2024
+7.43% +39.58% +17.46% - 3.30
11.07%
DWS Fintech LD
DE000DWS2872
paying dividend
EUR
DWS Investment GmbH 111.1200
01/11/2024
+7.30% +38.89% +15.74% - 3.24
11.06%
DWS Fintech ND
DE0009769919
paying dividend
EUR
DWS Investment GmbH 109.1700
01/11/2024
+7.20% +38.39% +14.51% +62.18% 3.19
11.06%
DWS Global Communications ND
DE0008474214
paying dividend
EUR
DWS Investment GmbH 259.5200
01/11/2024
+7.17% +29.04% +11.79% +48.80% 2.40
10.83%
DWS Global Emerging Markets Equitie...
DE0009773010
paying dividend
EUR
DWS Investment GmbH 127.2200
31/10/2024
+6.54% +19.13% -0.14% +15.15% 1.07
15.06%
DWS US Growth
DE0008490897
paying dividend
EUR
DWS Investment GmbH 521.6900
01/11/2024
+4.15% +36.99% +31.70% +126.28% 2.12
16.03%
PWM US Dynamic Growth (USD)
DE000DWS0T52
reinvestment
USD
DWS Investment GmbH 590.0200
01/11/2024
+3.93% +40.26% +16.40% +101.10% 2.46
15.13%
DWS Deutschland IC
DE000DWS2GT0
reinvestment
EUR
DWS Investment GmbH 290.6100
01/11/2024
+3.53% +22.51% -1.54% +24.99% 1.46
13.34%
DWS ESG Convertibles TFD
DE000DWS2SC1
paying dividend
EUR
DWS Investment GmbH 110.4400
01/11/2024
+3.49% +12.52% -9.01% +14.31% 1.73
5.47%
DWS ESG Convertibles TFC
DE000DWS2SB3
reinvestment
EUR
DWS Investment GmbH 111.7700
01/11/2024
+3.48% +12.47% -9.15% +14.16% 1.72
5.48%
DWS Deutschland TFD
DE000DWS2SA5
paying dividend
EUR
DWS Investment GmbH 105.5600
01/11/2024
+3.48% +22.27% -2.10% +23.80% 1.44
13.34%
DWS ESG Convertibles FC
DE000DWS1U74
reinvestment
EUR
DWS Investment GmbH 149.5700
01/11/2024
+3.48% +12.52% -9.03% +14.30% 1.73
5.48%
DWS Deutschland FC
DE000DWS2F23
reinvestment
EUR
DWS Investment GmbH 285.3700
01/11/2024
+3.48% +22.27% -2.13% +23.77% 1.44
13.34%
DWS Deutschland GTFC
DE000DWS2S36
reinvestment
EUR
DWS Investment GmbH 117.8900
01/11/2024
+3.48% +22.74% -0.73% +26.11% 1.48
13.33%
DWS Deutschland TFC
DE000DWS2R94
reinvestment
EUR
DWS Investment GmbH 115.2400
01/11/2024
+3.47% +22.27% -2.13% +23.77% 1.44
13.35%
DWS ESG Convertibles LD
DE0008474263
paying dividend
EUR
DWS Investment GmbH 141.0100
01/11/2024
+3.42% +12.24% -9.79% +12.77% 1.67
5.48%
DWS Deutschland LC
DE0008490962
reinvestment
EUR
DWS Investment GmbH 271.2600
01/11/2024
+3.32% +21.53% -3.87% +20.11% 1.38
13.34%