Nom
ISIN
  Type de rendement
Devise
Société de fonds Prix de rachat
Date
Perf. 3M Perf. 1A Perf. 3A Perf. 5A SR (1A)
Vola (1A)
 
Zurich Vorsorge Premium I
LU0358624715
reinvestment
EUR
DWS Investment SA 235.5000
31/10/2024
+1.90% +24.53% +9.50% +29.37% 2.52
8.53%
Zurich Premium Multi Asset Offensiv
LU0358627221
reinvestment
EUR
DWS Investment SA 231.4800
31/10/2024
+2.75% +23.35% +11.75% +31.87% 2.40
8.47%
Zurich Premium Multi Asset Defensiv
LU0418624085
reinvestment
EUR
DWS Investment SA 140.6400
31/10/2024
+1.89% +11.87% +0.11% +10.36% 2.65
3.33%
Xtrackers Portfolio UCITS ETF 1C
LU0397221945
reinvestment
EUR
DWS Investment SA 292.8307
31/10/2024
+0.63% +17.14% +4.49% +27.56% 2.56
5.5%
Xtrackers Portfolio Income UCITS ET...
IE00B3Y8D011
paying dividend
EUR
DWS Investment SA 13.3197
31/10/2024
+1.10% +12.11% +1.92% +12.16% 2.52
3.59%
Südwestbank Vermögensmandat Aktien
LU0347049883
paying dividend
EUR
DWS Investment SA 1,257.2200
31/10/2024
+4.36% +23.44% +4.85% +30.86% 2.32
8.78%
Multi Opportunities
LU0116291054
reinvestment
EUR
DWS Investment SA 177.2500
31/10/2024
+1.72% +16.79% +5.29% +16.08% 2.63
5.21%
DWS Vorsorge Premium Plus
LU0504964148
reinvestment
EUR
DWS Investment SA 196.6200
31/10/2024
+2.52% +26.39% +13.94% +33.71% 2.68
8.71%
DWS Vorsorge Premium Balance Plus
LU0504964494
reinvestment
EUR
DWS Investment SA 149.8000
31/10/2024
+1.68% +15.81% +1.43% +9.54% 2.71
4.71%
DWS Vorsorge Premium Balance
LU0504964221
reinvestment
EUR
DWS Investment SA 156.9600
31/10/2024
+1.61% +15.67% +1.35% +11.67% 2.67
4.73%
DWS Vorsorge Premium
LU0272367581
reinvestment
EUR
DWS Investment SA 183.6400
31/10/2024
+2.34% +26.09% +11.30% +28.61% 2.63
8.77%
DWS Vermögensmandat Dynamik LD
LU0309483781
paying dividend
EUR
DWS Investment SA 154.4900
31/10/2024
+1.13% +20.26% +0.92% +22.72% 2.10
8.18%
DWS Vermögensmandat Dynamik LC
LU2603232450
reinvestment
EUR
DWS Investment SA 118.5100
31/10/2024
+1.12% +20.25% - - 2.10
8.18%
DWS Vermögensmandat Defensiv LD
LU0309482544
paying dividend
EUR
DWS Investment SA 103.0800
31/10/2024
+0.34% +8.77% -4.24% +3.01% 1.45
3.94%
DWS Vermögensmandat Balance LD
LU0309483435
paying dividend
EUR
DWS Investment SA 132.1600
31/10/2024
+0.69% +14.33% -1.67% +12.79% 2.03
5.56%
DWS Vermögensmandat Balance LC
LU2603232377
reinvestment
EUR
DWS Investment SA 112.0700
31/10/2024
+0.68% +14.33% - - 2.03
5.56%
DWS Top Balance
LU0360865058
reinvestment
EUR
DWS Investment SA 207.3300
31/10/2024
+2.20% +16.89% +4.00% +22.58% 2.73
5.06%
DWS Strategic ESG Allocation Dynami...
LU2859424207
reinvestment
EUR
DWS Investment SA 102.2600
31/10/2024
- - - - -
-
DWS Strategic ESG Allocation Dynami...
LU2001265565
reinvestment
EUR
DWS Investment SA 146.3000
31/10/2024
+2.04% +23.41% +10.98% - 2.48
8.19%
DWS Strategic ESG Allocation Dynami...
LU1740985814
paying dividend
EUR
DWS Investment SA 150.4800
31/10/2024
+2.05% +23.47% +11.15% +44.16% 2.49
8.19%
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