NAV27/05/2024 Diferencia+0.4300 Tipo de beneficio Enfoque de la inversión Sociedad de fondos
158.6000EUR +0.27% paying dividend Equity Worldwide DWS Investment SA 
  • Dividendos ajustados Dividendos ajustados

Rendimiento mensual

  ene. feb. mar. abr. may. jun. jul. ago. sep. oct. nov. dic. Total
2016 - - - - - - - - -0.21 -0.15 1.18 2.02 -
2017 -0.98 4.76 0.16 -1.17 0.48 -2.42 -1.24 -0.94 0.76 1.25 -0.28 -0.92 -0.71%
2018 -1.19 -2.22 -3.02 2.73 1.64 0.72 3.21 0.43 1.15 -1.91 0.86 -5.59 -3.49%
2019 3.16 3.94 2.16 1.05 -2.39 2.72 1.38 -0.47 3.60 -1.08 2.15 1.15 +18.59%
2020 0.26 -8.90 -8.75 7.02 -1.46 -1.17 0.06 0.95 -1.18 -4.06 8.80 -0.70 -10.14%
2021 0.90 0.65 6.47 -0.29 0.70 1.24 1.05 0.84 -0.90 3.81 -0.69 5.84 +21.12%
2022 0.07 -1.67 5.84 0.91 -0.65 -5.84 3.79 -1.11 -4.63 4.79 1.43 -3.01 -0.79%
2023 1.56 -0.83 -1.64 1.32 -2.34 0.97 1.38 -1.16 0.18 -3.12 2.39 2.11 +0.64%
2024 1.12 0.50 3.80 0.06 1.09 - - - - - - - -
Meses individuales: Dividendos no considerados

Valores estimados

  Año hasta la fecha 6 Meses Promedio móvil 3 Años 5 Años
Volatilidad 5.86% 5.77% 7.09% 9.77% 12.23%
Índice de Sharpe 2.36 2.86 0.72 0.21 0.05
El mes mejor +3.80% +3.80% +3.80% +5.84% +8.80%
El mes peor +0.06% +0.06% -3.12% -5.84% -8.90%
Pérdida máxima -2.00% -2.00% -5.55% -10.90% -28.33%
Rendimiento superior -2.41% - -3.20% -1.47% -
 
Todas las cotizaciones en EUR

Tramos

Nombre   Tipo de beneficio Prec. de rescate Promedio móvil 3 Años
DWS Invest Top D.GBP C RD reinvestment 197.1100 +8.74% +22.28%
DWS Invest Top D.PFC reinvestment 169.8000 +8.42% +17.70%
DWS Invest Top D.PFD paying dividend 127.8200 +8.38% +17.87%
DWS Invest Top D.LDQH USD (P) paying dividend 117.8700 +11.93% +19.26%
DWS Invest Top D.SEK LCH (P) reinvestment 1,456.4399 +9.97% +12.58%
DWS Invest Top Dividend IDQ paying dividend 112.6100 +10.70% +24.84%
DWS Invest Top Dividend TFCH (P) reinvestment 126.5100 +10.98% +15.37%
DWS Invest Top D.FCH (P) reinvestment 164.5100 +12.83% +21.90%
DWS Invest Top Dividend TFCH (P) reinvestment 141.8900 +11.12% +17.10%
DWS Invest Top Dividend TFCH reinvestment 109.3700 +8.45% -
DWS Invest Top Dividend DH (P) R... paying dividend 120.6500 +8.71% +8.30%
DWS Invest Top Dividend LDM paying dividend 102.9000 - -
DWS Invest Top Dividend FC reinvestment 300.9800 +10.39% +23.75%
DWS Invest Top Dividend FD paying dividend 163.9400 +10.38% +23.78%
DWS Invest Top Dividend USD FC reinvestment 187.1500 +11.68% +10.13%
DWS Invest Top D.FCH (P) reinvestment 210.8300 +8.45% +11.45%
DWS Invest Top Dividend IC reinvestment 154.0100 +10.70% +24.83%
DWS Invest Top Dividend GBP D RD paying dividend 153.3100 +8.73% +22.24%
DWS Invest Top Dividend TFC reinvestment 144.1900 +10.39% +23.73%
DWS Invest Top Dividend LD paying dividend 183.8200 +9.56% +20.99%
DWS Invest Top Dividend NC reinvestment 245.9700 +8.80% +18.48%
DWS Invest Top Dividend LC reinvestment 211.8200 +10.85% +7.68%
DWS Invest Top Dividend GBP LD D... paying dividend 188.5800 +7.92% +19.51%
DWS Invest Top Dividend SGD LC reinvestment 20.4900 +10.64% +9.69%
DWS Invest Top Dividend SGD LCH ... reinvestment 22.2900 +10.18% +16.52%
DWS Invest Top Dividend USD LCH ... reinvestment 240.1600 +12.01% +19.29%
DWS Invest Top Dividend USD LDH ... paying dividend 153.4300 +12.00% +19.26%
DWS Invest Top Dividend CHF LCH ... reinvestment 191.2200 +7.72% +9.07%
DWS Invest Top D.LDQ paying dividend 121.5300 +10.85% +7.67%
DWS Invest Top D.SGD LDQH(P) paying dividend 13.9200 +10.22% +16.54%
DWS Invest Top D.LDQ paying dividend 15.3600 +10.64% +9.68%
DWS Invest Top D.LCH (P) reinvestment 151.7300 +10.08% +12.63%
DWS Invest Top D.LDQH (P) paying dividend 120.0900 +10.11% +12.70%
DWS Invest Top D.LDM paying dividend 82.3000 +10.84% +7.67%
DWS Invest Top D.ND paying dividend 158.6000 +8.81% +18.48%
DWS Invest Top Dividend LC reinvestment 271.0700 +9.56% +20.99%

Performance

Año hasta la fecha  
+6.70%
6 Meses  
+9.60%
Promedio móvil  
+8.81%
3 Años  
+18.48%
5 Años  
+24.43%
10 Años     -
Desde el principio  
+36.67%
Año
2023  
+0.64%
2022
  -0.79%
2021  
+21.12%
2020
  -10.14%
2019  
+18.59%
2018
  -3.49%
2017
  -0.71%
 

Dividendos

08/03/2024 5.26 EUR
10/03/2023 5.22 EUR
04/03/2022 4.89 EUR
05/03/2021 4.22 EUR
06/03/2020 4.43 EUR
08/03/2019 4.12 EUR
09/03/2018 3.94 EUR
10/03/2017 3.88 EUR