| Name | WKN | Perf. 1 Tag | Perf. 1 Mon. | Perf. 6 M. | Perf. 1 J. | Perf. 3 J. | Perf. 5 J. |
|
Franklin Templeton Investment Funds Franklin Global Convertible Securities Fund N (acc) USD |
A1JTUW |
+0,25% |
+0,65% |
+3,65% |
+8,04% |
-8,03% |
+32,63% |
|
Franklin Templeton Investment Funds Franklin Global Convertible Securities Fund A (acc) EUR |
A1JTUX |
+0,36% |
+2,24% |
+7,04% |
+11,86% |
+4,86% |
+46,42% |
|
Franklin Templeton Investment Funds Franklin Global Convertible Securities Fund A (Ydis) EUR |
A1JTUY |
+0,37% |
+2,23% |
+7,05% |
+11,88% |
+4,85% |
+46,36% |
|
Franklin Templeton Investment Funds Franklin Global Convertible Securities Fund N (acc) EUR |
A1JTU0 |
+0,36% |
+2,17% |
+6,64% |
+11,02% |
+2,50% |
+41,00% |
|
Franklin Templeton Investment Funds Franklin Global Convertible Securities Fund A (acc) EUR-H1 |
A1JTU2 |
+0,28% |
+0,56% |
+3,19% |
+6,85% |
-12,27% |
+24,16% |
|
Franklin Templeton Investment Funds Franklin Global Convertible Securities Fund A (acc) CHF-H1 |
A1JTU3 |
+0,24% |
+0,30% |
+1,80% |
+4,25% |
-15,39% |
+19,39% |
|
DWS Qi Extra Bond Total Return SD |
978802 |
+0,05% |
-0,11% |
+0,23% |
+4,16% |
-13,67% |
-11,60% |
|
DWS Invest Convertibles USD LCH |
DWS0CQ |
-0,09% |
-0,56% |
+0,20% |
+2,13% |
-12,39% |
+10,14% |
|
DWS Invest Convertibles LC (CE) |
DWS1BS |
+0,18% |
+0,39% |
+1,35% |
+2,45% |
-8,76% |
+9,29% |
|
DWS Invest Convertibles LC |
727462 |
-0,09% |
-0,72% |
-0,60% |
+0,61% |
-16,90% |
+0,87% |
| Name | WKN | Perf. 1 Tag | Perf. 1 Mon. | Perf. 6 M. | Perf. 1 J. | Perf. 3 J. | Perf. 5 J. |
|
DWS Invest Convertibles L |
727463 |
-0,09% |
-0,72% |
-0,60% |
+0,61% |
-16,90% |
+0,87% |
|
DWS ESG Convertibles LD |
847426 |
-0,09% |
-0,41% |
+0,48% |
+1,97% |
-11,94% |
+8,02% |
|
DWS Covered Bond Fund LD |
847653 |
+0,25% |
+0,62% |
-0,22% |
+3,64% |
-10,17% |
-10,63% |
|
DWS Covered Bond Fund L |
DWS1UL |
+0,25% |
+0,62% |
-0,23% |
+3,63% |
-10,17% |
-10,62% |
|
Amundi Wandelanleihen |
848495 |
+0,51% |
-1,43% |
-1,24% |
-0,22% |
-10,40% |
-1,51% |
|
Amundi Total Return A EUR ND |
A0DPHJ |
+0,01% |
+0,05% |
+3,12% |
+6,52% |
+0,46% |
+9,19% |
|
Amundi Total Return A EUR DA |
534304 |
±0,00% |
+0,04% |
+3,12% |
+6,51% |
+0,45% |
+9,18% |
|
Amundi S.F. - EUR Commodities A EUR ND |
A0MJ6G |
+0,07% |
-3,83% |
+5,00% |
+1,81% |
+12,43% |
+26,09% |
|
ALLIANZ MOBIL-FONDS A EUR |
847191 |
+0,13% |
+0,49% |
+0,43% |
+2,70% |
+0,19% |
+0,79% |
|
Allianz Global Investors Fund - Allianz Dynamic Commodities A |
A1C5F5 |
+0,05% |
-3,36% |
+10,33% |
+7,18% |
+8,70% |
+22,63% |