DWS Invest China Bonds USD FC
LU0616856778
DWS Invest China Bonds USD FC/ LU0616856778 /
NAV 14.05.2024
Diff.+0,0400
Ertragstyp
Ausrichtung
Fondsgesellschaft
140,3900 USD
+0,03%
thesaurierend
Anleihen
Asien/Pazifik
DWS Investment SA ▶
Kennzahlen und Performance in:
Alle Kurse in USD
Tranchen
Titel
Ertragstyp
Rückn. Preis
1 Jahr
3 Jahre
DWS Invest China Bonds FDH
ausschüttend
78,4000
-0,60%
-2,43%
DWS Invest China Bd.NDQH EUR
ausschüttend
83,0800
-1,57%
-5,14%
DWS Invest China Bd.FCH
thesaurierend
107,0900
-1,09%
+1,83%
DWS Invest China Bd.LCH
thesaurierend
104,6600
-1,68%
+0,18%
DWS Invest China Bonds USD FC
thesaurierend
140,3900
+1,19%
+2,67%
DWS Invest China Bonds FCH
thesaurierend
117,7800
-0,45%
-1,98%
DWS Invest China Bonds CHF FCH
thesaurierend
102,6000
-2,71%
-5,63%
DWS Invest China Bonds RMB FC
thesaurierend
150,0200
+5,17%
+15,48%
DWS Invest China Bd.USD FCH (P)
thesaurierend
117,3700
+7,32%
+15,09%
DWS Invest China Bd.FCH
thesaurierend
1.017,0000
-0,52%
-1,45%
DWS Invest China Bd.PFDQH
ausschüttend
75,0000
-0,70%
-4,26%
DWS Invest China Bd.PFCH
thesaurierend
96,2000
-0,06%
-3,29%
DWS Invest China Bd.EUR TFCH
thesaurierend
95,1100
-0,55%
-2,39%
DWS Invest China Bd.TFC
thesaurierend
108,4400
+1,18%
+2,69%
DWS Invest China Bonds CHF LCH
thesaurierend
96,6400
-3,33%
-7,21%
DWS Invest China Bonds RMB LC
thesaurierend
142,1100
+4,55%
+13,49%
DWS Invest China Bonds NC
thesaurierend
142,0800
+0,70%
+11,93%
DWS Invest China Bonds NCH
thesaurierend
104,4500
-1,61%
-5,25%
DWS Invest China Bd.NDH EUR
ausschüttend
71,6500
-1,61%
-5,27%
DWS Invest China Bd.SEK LCH
thesaurierend
983,8800
-1,34%
-3,40%
DWS Invest China Bd.USD LDMH(P)
ausschüttend
75,8200
+6,77%
+13,39%
DWS Invest China Bonds USD LC
thesaurierend
131,1000
+0,59%
+0,99%
DWS Invest China Bonds LCH
thesaurierend
109,8100
-1,16%
-4,01%
DWS Invest China Bonds LDH
ausschüttend
77,7900
-1,11%
-4,00%
Performance
lfd. Jahr
+1,47%
6 Monate
+3,15%
1 Jahr
+1,19%
3 Jahre
+2,67%
5 Jahre
+10,20%
10 Jahre
+24,01%
seit Beginn
+40,39%
Jahr
2023
+0,99%
2022
-0,65%
2021
+0,62%
2020
+4,41%
2019
+4,76%
2018
-5,13%
2017
+16,28%
2016
-1,13%
2015
-1,27%