Name
ISIN
  Type of yield
Currency
Investment company Repurchase p.
Date
Perf. 3M Perf. 1Y Perf. 3Y Perf. 5Y SR (1Y)
Vola. (1Y)
 
DeAM-Fonds WOP 2
DE0003429221
paying dividend
EUR
DWS Investment GmbH 146.7700
6/23/2025
+1.21% +3.37% +9.22% - 0.34
3.99%
DWS CIO View Defensive TFC
DE000DWS2UB9
reinvestment
EUR
DWS Investment GmbH 119.6400
6/23/2025
+1.18% +4.63% +14.93% +16.03% 0.58
4.51%
DWS CIO View Defensive LC
DE000DWS1UR7
reinvestment
EUR
DWS Investment GmbH 128.7300
6/23/2025
+1.06% +4.11% +13.22% +13.18% 0.46
4.51%
DWS Sachwerte LC
DE000DWS3G39
reinvestment
EUR
DWS Investment GmbH 116.6700
6/23/2025
+1.06% +6.99% - - 0.59
8.42%
DWS Sachwerte LD
DE000DWS0W32
paying dividend
EUR
DWS Investment GmbH 151.4700
6/23/2025
+1.04% +5.95% +18.51% +25.70% 0.49
8.09%
Baloise-International DWS
DE0008474297
paying dividend
EUR
DWS Investment GmbH 127.5900
6/23/2025
+0.93% +4.06% +18.75% +18.92% 0.23
9.01%
DWS ESG Dynamic Opportunities SC
DE000DWS2ND0
reinvestment
EUR
DWS Investment GmbH 68.7700
6/23/2025
+0.70% +4.28% +26.58% +42.20% 0.19
11.74%
Vermögensmanagement Rendite
DE000A0MUWV1
reinvestment
EUR
DWS Investment GmbH 50.8000
6/23/2025
+0.69% +3.00% +7.60% +7.79% 1.21
0.81%
DWS ESG Dynamic Opportunities MFC
DE000DWS2X39
reinvestment
EUR
DWS Investment GmbH 158.9900
6/23/2025
+0.69% +4.26% +26.57% +42.20% 0.19
11.74%
DWS ESG Stiftungsfonds TFC
DE000DWS22P7
reinvestment
EUR
DWS Investment GmbH 114.4900
6/23/2025
+0.64% +6.05% +13.97% +16.87% 1.24
3.25%
DWS ESG Dynamic Opportunities FC
DE0009848077
reinvestment
EUR
DWS Investment GmbH 66.2500
6/23/2025
+0.59% +3.81% +24.91% +39.06% 0.15
11.74%
DWS ESG Dynamic Opportunities TFC
DE000DWS2XY5
reinvestment
EUR
DWS Investment GmbH 149.0900
6/23/2025
+0.58% +3.80% +24.89% +39.04% 0.15
11.74%
DWS ESG Stiftungsfonds LC
DE000DWS22Q5
reinvestment
EUR
DWS Investment GmbH 111.1100
6/23/2025
+0.53% +5.54% +12.27% +13.98% 1.08
3.25%
DWS ESG Stiftungsfonds LD
DE0005318406
paying dividend
EUR
DWS Investment GmbH 48.4800
6/23/2025
+0.52% +5.53% +12.26% +13.98% 1.08
3.25%
FOS Rendite und Nachhaltigkeit B
DE000DWS2S93
paying dividend
EUR
DWS Investment GmbH 119.0500
6/23/2025
+0.45% +2.59% +12.25% +13.95% 0.13
4.28%
FOS Rendite und Nachhaltigkeit A
DE000DWS0XF8
paying dividend
EUR
DWS Investment GmbH 118.5300
6/23/2025
+0.44% +2.58% +12.21% +13.83% 0.13
4.27%
DWS ESG Dynamic Opportunities LD
DE000DWS2XX7
paying dividend
EUR
DWS Investment GmbH 61.4900
6/23/2025
+0.42% +3.14% +22.50% +34.64% 0.10
11.75%
DWS ESG Dynamic Opportunities LC
DE000DWS17J0
reinvestment
EUR
DWS Investment GmbH 62.7000
6/23/2025
+0.42% +3.14% +22.48% +34.61% 0.10
11.75%
DWS ESG Balance Portfolio E
DE0008471301
paying dividend
EUR
DWS Investment GmbH 35.0100
6/23/2025
+0.34% +4.44% +18.46% +13.62% 0.57
4.24%
Champions Select Balance LD
DE000DWS3GC4
paying dividend
EUR
DWS Investment GmbH 134.9600
6/23/2025
+0.13% +3.21% - - 0.18
6.64%