Name
ISIN
  Type of yield
Currency
Investment company Repurchase p.
Date
Perf. 3M Perf. 1Y Perf. 3Y Perf. 5Y SR (1Y)
Vola. (1Y)
 
DWS ESG Dynamic Opportunities FC
DE0009848077
reinvestment
EUR
DWS Investment GmbH 63.4600
2024-07-19
+2.95% +11.39% +11.43% +37.12% 1.28
6.02%
DWS ESG Dynamic Opportunities LC
DE000DWS17J0
reinvestment
EUR
DWS Investment GmbH 60.4200
2024-07-19
+2.79% +10.66% +9.28% +32.76% 1.16
6.03%
DWS ESG Dynamic Opportunities LD
DE000DWS2XX7
paying dividend
EUR
DWS Investment GmbH 59.4700
2024-07-19
+2.80% +10.67% +9.29% +32.78% 1.16
6.03%
DWS ESG Dynamic Opportunities MFC
DE000DWS2X39
reinvestment
EUR
DWS Investment GmbH 151.6700
2024-07-19
+3.07% +11.88% +12.94% +40.25% 1.36
6.02%
DWS ESG Dynamic Opportunities SC
DE000DWS2ND0
reinvestment
EUR
DWS Investment GmbH 65.6000
2024-07-19
+3.06% +11.89% +12.95% +40.26% 1.36
6.02%
DWS ESG Dynamic Opportunities TFC
DE000DWS2XY5
reinvestment
EUR
DWS Investment GmbH 142.8200
2024-07-19
+2.96% +11.39% +11.43% +37.14% 1.28
6.02%
DWS ESG Dynamik LC
DE000DWS0RZ8
reinvestment
EUR
DWS Investment GmbH 219.5300
2024-07-19
+6.74% +16.15% +11.78% +32.83% 1.87
6.65%
DWS ESG Dynamik TFC
DE000DWS2UC7
reinvestment
EUR
DWS Investment GmbH 148.0000
2024-07-19
+6.92% +16.98% +14.17% +37.53% 2.00
6.65%
DWS ESG Stiftungsfonds LC
DE000DWS22Q5
reinvestment
EUR
DWS Investment GmbH 106.0700
2024-07-19
+3.19% +8.95% -2.84% +5.95% 1.96
2.69%
DWS ESG Stiftungsfonds LD
DE0005318406
paying dividend
EUR
DWS Investment GmbH 47.2400
2024-07-19
+3.19% +8.95% -2.84% +5.97% 1.95
2.7%
DWS ESG Stiftungsfonds TFC
DE000DWS22P7
reinvestment
EUR
DWS Investment GmbH 108.8100
2024-07-19
+3.32% +9.52% -1.34% +8.67% 2.17
2.69%
DWS Sachwerte LC
DE000DWS3G39
reinvestment
EUR
DWS Investment GmbH 110.5600
2024-07-19
+5.29% +11.85% - - 1.36
5.98%
DWS Sachwerte LD
DE000DWS0W32
paying dividend
EUR
DWS Investment GmbH 144.6000
2024-07-19
+4.23% +9.78% +7.90% +22.18% 1.14
5.35%
DWS SDG Multi Asset Dynamic LC
DE0009848010
reinvestment
EUR
DWS Investment GmbH 89.3700
2024-07-19
+6.66% +12.39% +5.60% +26.80% 1.33
6.56%
DWS Vorsorge AS (Dynamik)
DE0009769885
reinvestment
EUR
DWS Investment GmbH 166.5600
2024-07-19
+5.07% +12.07% +12.20% +33.04% 1.36
6.17%
DWS Vorsorge AS (Flex)
DE0009769893
reinvestment
EUR
DWS Investment GmbH 162.1400
2024-07-19
+5.09% +12.11% +12.23% +33.24% 1.38
6.12%
Dynamic Global Balance
DE000A0EAWB2
paying dividend
EUR
DWS Investment GmbH 77.6200
2024-07-19
+4.75% +7.70% +7.87% +12.76% 0.65
6.21%
FFPB Substanz
DE000A0M1U25
paying dividend
EUR
DWS Investment GmbH 6.8400
2024-07-19
+1.03% +6.20% -1.51% +1.94% 0.90
2.8%
FOS Rendite und Nachhaltigkeit A
DE000DWS0XF8
paying dividend
EUR
DWS Investment GmbH 118.2400
2024-07-19
+2.52% +7.50% -1.50% +13.34% 1.14
3.33%
FOS Rendite und Nachhaltigkeit B
DE000DWS2S93
paying dividend
EUR
DWS Investment GmbH 118.7400
2024-07-19
+2.53% +7.51% -1.45% +13.58% 1.15
3.33%