Fonds-Suche

Suchen

1.270 Fonds Ergebnisse

Name WKN KVG F-Fex
Rating
Morningstar
Rating
FNG
Siegel
1J Perf.
%
5J Perf.
%
10J Perf.
%
Volumen
in Mio.
DWS Invest ESG CROCI Innovation Leaders USD RC Fonds DWS207 DWS Investment B 22,04 63,65 - 15,31
DWS Invest ESG CROCI Innovation Leaders TFC Fonds DWS206 DWS Investment B 8,95 73,62 - 15,31
DWS Invest ESG CROCI Innovation Leaders USD TFC Fonds DWS208 DWS Investment B 22,70 68,04 - 15,31
DWS Invest ESG CROCI Innovation Leaders USD XC Fonds DWS209 DWS Investment B 22,85 69,09 - 15,31
DWS Invest ESG CROCI Innovation Leaders XC Fonds DWS21A DWS Investment B 9,08 74,50 - 15,31
DWS Invest ESG Dynamic Opportunities USD FCH Fonds DWS2XW DWS Investment C 9,33 49,80 - 158,89
DWS Invest ESG Dynamic Opportunities FD Fonds DWS2ZU DWS Investment B 7,16 38,28 - 158,89
DWS Invest ESG Dynamic Opportunities IC Fonds DWS2ZD DWS Investment B 7,60 41,23 - 158,89
DWS Invest ESG Dynamic Opportunities ICH Fonds DWS3FM DWS Investment 9,76 - - 158,89
DWS Invest ESG Dynamic Opportunities LC Fonds DWS2XT DWS Investment C 6,57 34,52 94,60 158,89
DWS Invest ESG Dynamic Opportunities LDM Fonds DWS Investment 6,56 - - 158,89
DWS Invest ESG Dynamic Opportunities FC Fonds DWS2XS DWS Investment B 7,16 38,25 102,63 158,89
DWS Invest ESG Dynamic Opportunities NC Fonds DWS2XU DWS Investment C 6,04 31,19 84,60 158,89
DWS Invest ESG Dynamic Opportunities PFC Fonds DWS2XV DWS Investment C 5,49 27,86 80,44 158,89
DWS Invest ESG Dynamic Opportunities TFC Fonds DWS2ZE DWS Investment B 7,17 38,30 - 158,89
DWS Invest ESG Emerging Markets Top Dividend LC Fonds DWS0QT DWS Investment C 27,79 31,51 102,93 148,64
DWS Invest ESG Emerging Markets Top Dividend LD Fonds DWS0S9 DWS Investment C 27,79 31,51 102,91 148,64
DWS Invest ESG Emerging Markets Top Dividend FC Fonds DWS0QV DWS Investment B 28,76 36,62 119,39 148,64
DWS Invest ESG Emerging Markets Top Dividend USD FC Fonds DWS0QX DWS Investment B 45,03 32,34 131,85 148,64
DWS Invest ESG Emerging Markets Top Dividend NC Fonds DWS0QU DWS Investment C 26,89 27,00 89,20 148,64