Informationen zum Unternehmen
Name China Petroleum & Chemical Corporation
ISIN CNE1000002Q2
CNE0000018G1
US16941R1086
Website http://www.sinopec.com/
Konflikte
Erläuterung China Petroleum & Chemical Corp (Sinopec) ist ein in China ansässiges Energie- und Chemieunternehmen. Außerdem erschließt und entwickelt das Unternehmen Ölfelder sowie fördert es Erdöl und Erdgas.
China Petroleum & Chemical Corp zählt laut der Investoren-Inititative Climate Action 100+ zu den Unternehmen mit den höchsten kombinierten direkten und indirekten Treibhausgasemissionen (gemäß Daten des Carbon Disclosure Project (CDP)), die im globalen Index MSCI ACWI (85% der weltweit investierbaren Aktien) geführt werden. Demnach trägt das Unternehmen durch seine Unternehmenspraxis maßgeblich zum Klimawandel bei.
Das Unternehmen erzielte beim Corporate Human Rights Benchmark (CHRB) 2019 eine Bewertung von unter 10%. Der CHRB untersucht fast 200 der größten börsennotierten Unternehmen der Branchen Agrar, Bekleidung, Rohstoffe und Informations- und Kommunikationstechnologie (ICT). Die Bewertung beruht auf öffentlich zugänglichen Informationen zu Unternehmensführung, Richtlinien, Prozessen und angewandten Praktiken der Unternehmen in Bezug auf menschenrechtliche Verpflichtungen. Dabei spielen eine Reihe von Menschenrechtsindikatoren wie bspw. die Verpflichtung zur Achtung von UN-Leitprinzipien, Vorkommen von Zwangsarbeit, Einhaltung Mindestlohn, etc. eine Rolle.
Die Ergebnisse des CHRB sind ein Indikator für die Einhaltung der Menschenrechte durch Unternehmen. Eine niedrige Bewertung durch den CHRB bedeutet nicht notwendigerweise, dass Verstöße oder schlechte Praktiken vorliegen, oder internen Maßnahmen zu diesem Thema fehlen (da diese lediglich nicht öffentlich kommuniziert werden). Dennoch sind insbesondere in globalen Lieferketten Risiken zu Verstößen gegen Arbeits- und Menschenrechte nachweislich hoch und verbreitet. Mangelnde grundlegende Verpflichtungen und ein fehlendes öffentliches Bekenntnis zu Arbeits- und Menschenrechten signalisieren allerdings, dass angemessene Prozesse fehlen, um nachteilige Auswirkungen auf die Menschenrechte zu vermeiden oder wirksame Abhilfemaßnahmen zu ergreifen, nachdem negative Vorfälle aufgetreten sind.
Eine Gesamtbewertung von unter 10% legt demnach nahe, dass ein Unternehmen die wirksame Achtung von Menschenrechten nicht ausreichend nachweisen kann und somit die menschenrechtlichen Sorgfaltspflichten, die die UN-Leitprinzipien für Wirtschaft und Menschenrechte (UNGPs) fordern, nicht ausreichend umgesetzt werden.
Quellen Climate Action 100+ Liste der 100 Fokusunternehmen (Stand: Sep. 2019)
Corporate Human Rights Benchmark 2019
Anzahl laufender Anleihen 26
Anzahl beinhaltender Fonds 275
Fonds, die Aktien oder Anleihen des Unternehmens halten
ISIN des Fonds Name Bemerkung Gesamthöhe kontroverser Unternehmensbeteiligungen Höhe der Beteiligung in China Petroleum & Chemical Corporation
LU0856992614 Allianz Adv Fix Inc Sh Dur A EUR
8.48%
0.38%
LU1069922828 Allianz Adv Fix Inc Sh Dur Euro Res Plus P+G A2EUR
8.48%
0.38%
LU1069922661 Allianz Adv Fix Inc Sh Dur Euro Res Plus WM P EUR
8.48%
0.38%
LU1173935690 Allianz Best Styles Emerging Markets Equity RT EUR
10.66%
0.85%
LU0706717351 Allianz Advanced Fixed Income Euro - A - EUR
5.87%
0.10%
LU1260871014 Allianz Advanced Fixed Inc Global Aggregate A EUR
5.3%
0.07%
LU1272325553 Allianz Adv Fix Inc Sh Dur P EUR
8.48%
0.38%
LU1136106207 Allianz Best Styles Emerging Markets Equity A EUR
10.66%
0.85%
LU1282651980 Allianz Best Styles Emerging Markets Equity AT EUR
10.66%
0.85%
LU1317421185 Allianz Advanced Fixed Inc Global Aggregate R EUR
5.3%
0.07%
LU1317421268 Allianz Advanced Fixed Inc Global Aggregate RT EUR
5.3%
0.07%
LU1349982451 Allianz Advanced Fixed Income Global Agg AT H2-PLN
5.3%
0.07%
LU1405890630 Allianz Advanced Fixed Income Global Agg PT H2-CHF
5.3%
0.07%
LU1405890473 Allianz Best Styles Emerging Markets Equity P EUR
10.66%
0.85%
LU1459823677 Allianz Advanced Fixed Income Euro- CT EUR
5.87%
0.10%
LU1205638155 Allianz Advanced Fixed Income Euro - AT EUR
5.87%
0.10%
LU1504571149 Allianz Adv Fix Inc Sh Dur AT EUR
8.48%
0.38%
LU1543696949 Allianz Best Styles Emerging Markets Eq YT(H-GBP)
10.66%
0.85%
LU1322973121 Allianz Advanced Fixed Income Euro - RT - EUR
5.87%
0.10%
LU1677193176 Allianz Adv Fix Inc Sh Dur RT EUR
8.48%
0.38%
LU1698897672 Allianz Best Styles Emerging Markets Eq RT USD
10.66%
0.85%
LU1706852370 Allianz Advanced Fixed Income Euro - P - EUR
5.87%
0.10%
LU1740663296 Allianz Advanced Fixed Income Short Duration R EUR
8.48%
0.38%
LU1914381246 Allianz Best Styles Emerging Markets Eq ET(H2-SGD)
10.66%
0.85%
LU1941711530 Allianz Advanced Fixed Income Euro-Y14-EUR
5.87%
0.10%
LU1941711613 Allianz Advanced Fixed Income Short Durat Y14 EUR
8.48%
0.38%
LU1941711373 Allianz Best Styles Emerging Markets Eq Y14 EUR
10.66%
0.85%
LU2012948357 Allianz Adv Fixed Income Short Duration RT10 (EUR)
8.48%
0.38%
LU2010168941 Allianz Advanced Fixed Income Euro RT (H2-CHF)
5.87%
0.10%
LU2016121795 Allianz Advanced Fixed Income Short Durat R10(EUR)
8.48%
0.38%
LU2010169089 Allianz Adv Fix Income Short Duration RT (H2-CHF)
8.48%
0.38%
LU0396098781 Allianz China Multi Income Plus - AT - USD
2.22%
0.58%
LU1048484197 Allianz China Multi Income Plus - AT - HKD
2.22%
0.58%
LU1568876335 Allianz China Multi Income Plus - AMg - HKD
2.22%
0.58%
LU1568876251 Allianz China Multi Income Plus- AMg - USD
2.22%
0.58%
IE0032828273 Allianz Emerging Markets Bond Fund - A (H-EUR)EUR
1.42%
1.42%
LU0293294277 Allianz Enhanced Short Term Euro - AT - EUR
9.44%
1.01%
LU0293294434 Allianz Enhanced Short Term Euro - CT - EUR
9.44%
1.01%
LU0678493965 Allianz Enhanced Short Term Euro-S(H2-NOK)-NOK
9.44%
1.01%
LU0678493700 Allianz Enhanced Short Term Euro-S(H2-AUD)-AUD
9.44%
1.01%
IE00BJ358T96 Allianz Emerging Markets Bond Fund - AT (H-EUR)EUR
1.42%
1.42%
IE00BLT2JB74 Allianz Emerging Markets Bond Fund - P (H-EUR)EUR
1.42%
1.42%
LU1143268792 Allianz Emerging Markets Select Bond RT (H2-EUR)
2.7%
0.62%
LU1173936748 Allianz Emerging Markets Select Bond R (H2-EUR)
2.7%
0.62%
IE00BW0DJ725 Allianz Emerging Markets Bond Fund - R (H-EUR)EUR
1.42%
1.42%
LU1349982964 Allianz Enhanced Short Term Euro - AT (H2-PLN)
9.44%
1.01%
LU1687709011 Allianz Enhanced Short Term Euro - RT - EUR
9.44%
1.01%
LU1752426780 Allianz Enhanced Short Term Euro - A - EUR
9.44%
1.01%
LU1752426434 Allianz Enhanced Short Term Euro - P - EUR
9.44%
1.01%
LU1794554391 Allianz Emerging Markets Select Bond - AMg - USD
2.7%
0.62%
LU1794554714 Allianz Emerging Markets Select Bd-AMg(H2-SGD)-SGD
2.7%
0.62%
LU1941711456 Allianz Enhanced Short Term Euro-Y14-EUR
9.44%
1.01%
LU2041105730 Allianz Emerging Markets Select Bond A (H2-EUR)
2.7%
0.62%
LU2041105813 Allianz Emerging Markets Select Bond P (H2-EUR)
2.7%
0.62%
DE0008475187 Allianz Euro Rentenfonds >>K<< A EUR
3.22%
0.14%
DE0009797506 Allianz Euro Rentenfonds >>K<< - P - EUR
3.22%
0.14%
LU0890505703 Allianz Global Fundamental Strategy D (H2-USD)
14.79%
1.47%
LU0986130309 Allianz Global Fundamental Strategy - CT2 (EUR)
14.79%
1.47%
LU1036042908 Allianz Global Fundamental Strategy D (EUR)
14.79%
1.47%
LU1136180517 Allianz Global Fundamental Strategy - RT2 (H-GBP)
14.79%
1.47%
LU1309437132 Allianz Global Fundamental Strategy - AT2 - EUR
14.79%
1.47%
LU1480269049 Allianz Global Multi-Asset Credit -AT(H2-EUR)EUR
7.05%
0.34%
LU1480268660 Allianz Global Multi-Asset Credit - A (H2-EUR)EUR
7.05%
0.34%
LU1480270054 Allianz Global Multi-Asset Credit - P (H2-EUR)EUR
7.05%
0.34%
LU1309437488 Allianz Global Fundamental Strategy - AT3 - EUR
14.79%
1.47%
LU1480268744 Allianz Global Multi-Asset Credit - AT - USD
7.05%
0.34%
LU1480270641 Allianz Global Multi-Asset Credit - CT (H2-EUR)
7.05%
0.34%
LU1568875956 Allianz Global Multi-Asset Credit - AQ (H2-EUR)
7.05%
0.34%
LU1568875873 Allianz Global Multi-Asset Credit - AQ - USD
7.05%
0.34%
LU1597343828 Allianz Global Multi-Asset Credit - C (H2EUR)EUR
7.05%
0.34%
LU1597343745 Allianz Global Multi-Asset Credit - AT (H2-CZK)
7.05%
0.34%
LU1597344396 Allianz Global Multi-Asset Credit - PT (H2-CHF)
7.05%
0.34%
LU1597344479 Allianz Global Multi-Asset Credit - PT - USD
7.05%
0.34%
LU1652854842 Allianz Global Multi-Asset Credit - RT (H2-EUR)EUR
7.05%
0.34%
LU1685827146 Allianz Global Multi-Asset Credit - RT - USD
7.05%
0.34%
LU1723479678 Allianz Global Fundamental Strategy - A - EUR
14.79%
1.47%
LU1723484678 Allianz Global Fundamental Strategy - R - EUR
14.79%
1.47%
LU1677196864 Allianz Global Fundamental Strategy - RT - EUR
14.79%
1.47%
LU1480268405 Allianz Global Multi-Asset Credit - A - USD
7.05%
0.34%
LU1831039380 Allianz Global Multi-Asset Credit - PT(H2-EUR)-EUR
7.05%
0.34%
LU1831039547 Allianz Global Multi-Asset Credit - P (H2-GBP)-GBP
7.05%
0.34%
LU1858968388 Allianz Global Multi-Asset Credit-AMg(H2-AUD)-AUD
7.05%
0.34%
LU1858968461 Allianz Global Multi-Asset Credit-AMg(H2-ZAR)-ZAR
7.05%
0.34%
LU1858968206 Allianz Global Mlti-Asset Credit-AMg-USD
7.05%
0.34%
LU1516273239 Allianz Global Multi-Asset Credit - PT2 (H2-EUR)
7.05%
0.34%
LU1516273155 Allianz Global Multi-Asset Credit PT2 USD
7.05%
0.34%
LU1254138628 Allianz Global Emerging Markets Eq Dividend A EUR
14.3%
0.60%
LU0348786921 Allianz Oriental Income - P - USD
9.41%
1.61%
LU0087342167 Allianz PIMCO High Yield Income Fund - - USD
9.16%
0.23%
LU0348783233 Allianz Oriental Income - A - USD
9.41%
1.61%
LU0348784397 Allianz Oriental Income - AT - USD
9.41%
1.61%
LU0417516571 Allianz Oriental Income - AT - SGD
9.41%
1.61%
LU0348784041 Allianz Oriental Income - AT - EUR
9.41%
1.61%
LU0348783662 Allianz Oriental Income - A (H-USD) - USD
9.41%
1.61%
LU1173936821 Allianz Oriental Income Ertrag Asien Pazifik A2EUR
9.41%
1.61%
LU1254141416 Allianz Oriental Income - RT - EUR
9.41%
1.61%
LU1752425543 Allianz Oriental Income A (EUR)
9.41%
1.61%
LU1752425386 Allianz Oriental Income P (EUR)
9.41%
1.61%
LU1479563717 Allianz Thematica - A -EUR
9%
0.51%
LU1479563808 Allianz Thematica - P -EUR
9%
0.51%
LU1917777945 Allianz Thematica - AT - USD
9%
0.51%
LU1953145353 Allianz Thematica - R - EUR
9%
0.51%
LU1974910355 Allianz Thematica - AMg - USD
9%
0.51%
LU1981791327 Allianz Thematica - AT - EUR
9%
0.51%
LU2009012159 Allianz Thematica RT (EUR)
9%
0.51%
LU2009012233 Allianz Thematica RT (USD)
9%
0.51%
LU2014482397 Allianz Thematica AMg (CNY H2-RMB)
9%
0.51%
LU2023250769 Allianz Thematica AMg (H2-AUD)
9%
0.51%
LU2023250504 Allianz Thematica AMg (H2-SGD)
9%
0.51%
LU2023250843 Allianz Thematica AT (H2-SGD)
9%
0.51%
LU2028102338 Allianz Thematica RT (H2-GBP)
9%
0.51%
LU2052517310 Allianz Thematica AT (H2-CZK)
9%
0.51%
LU0178431259 Allianz Treasury Short Term Plus Euro-A-EUR
5.94%
1.72%
LU1132057099 Allianz Treasury Short Term Plus Euro - P2 - EUR
5.94%
1.72%
LU1677199538 Allianz Treasury Short Term Plus Euro - R - EUR
5.94%
1.72%
LU1931926452 Allianz Treasury Short Term Plus Euro - RT - EUR
5.94%
1.72%
LU0107368036 Deka-BasisStrategie Renten CF
10.71%
0.09%
LU0052859252 DekaLuxTeam-Aktien Asien CF
10.01%
1.33%
LU0245287742 Deka-Global ConvergenceRenten CF
3.16%
0.19%
LU0245302137 Deka-Global ConvergenceRenten TF
3.16%
0.19%
LU0271177163 Deka-Global ConvergenceAktien CF
10.7%
0.40%
LU0271177593 Deka-Global ConvergenceAktien TF
10.7%
0.40%
LU0350136957 Deka-EM Bond CF
2.18%
0.24%
LU0350138573 Deka-EM Bond TF
2.18%
0.24%
DE000DK2D7V3 Deka-CorporateBond NonFinancial CF A
11.94%
0.47%
DE000DK2CDS0 Deka-DividendenStrategie CF A
26.66%
0.32%
DE000DK2CGN4 Deka-DividendenDiscount CF
20.32%
0.37%
LU1084635462 Deka-BasisStrategie Renten TF (A)
10.71%
0.09%
DE000DK2J662 Deka-Multi Asset Income CF A
10.93%
0.06%
DE000A0ERYQ0 Keppler-Emerging Markets-INVEST
18.53%
1.34%
DE000A0JKNP9 Keppler-Global Value-INVEST
43.79%
1.03%
DE000DK2J670 Deka-Multi Asset Income I A
10.93%
0.06%
LU0063729296 BGF Asian Tiger Bond A2 USD
2.17%
0.95%
DE0008480807 Naspa-Fonds Ausschüttung Plus
10.52%
0.06%
LU0171283459 BGF Global Allocation A2 EUR
13.78%
0.02%
LU0212925753 BGF Global Allocation A2 EUR Hedged
13.78%
0.02%
LU0240613025 BGF Global Allocation A4 EUR Hedged
13.78%
0.02%
LU0408221512 BGF Global Allocation A4 EUR
13.78%
0.02%
LU0784383712 BGF Global Multi-Asset Income A4G EUR Hedged
5.13%
0.02%
LU0040778739 Deka-BasisStrategie Renten TF
10.71%
0.09%
LU0054237671 Fidelity Funds - Asian Special Sits A-USD-DIS
7.18%
2.29%
LU1129851157 Fidelity Funds - Gl MA Income A-GDIST-EUR H
6.84%
0.04%
LU1147469677 Franklin Diversified Balanced A (Ydis) EUR
7.99%
0.14%
LU1147470253 Franklin Diversified Conservative A (Ydis) EUR
4.95%
0.03%
LU1147470766 Franklin Diversified Dynamic A (Ydis) EUR
11.16%
0.22%
LU0117844026 JPM Asia Pacific Income A Dis USD
7.69%
0.36%
LU0051755006 JPM China A Dis USD
6.81%
3.05%
LU0395794307 JPM Global Income A Div EUR
8.09%
0.02%
LU0562246370 JPM EM Investment Grade Bond A Dis EUR Hdg
4.93%
0.33%
LU0840466477 JPM Global Income A Dis EUR
8.09%
0.02%
LU0862449773 JPM Emerging Markets Dividend A Dis EUR
8.11%
0.90%
LU0953163366 JPM Emerging Markets Strategic Bd A (perf)DisEUR H
2.24%
0.04%
LU1458463152 JPM Global Income Conservative A Dis EUR
4.58%
0.01%
LU0106252389 Schroder ISF Emerging Markets A Acc
11.35%
1.41%
LU0106258311 Schroder ISF Global Corporate Bond A Acc
8.85%
0.12%
LU0106259558 Schroder ISF Asian Opportunities A Acc
10.38%
1.02%
LU0141248459 SWC (LU) BF EUR AA
4.18%
0.85%
LU0112806921 SWC (LU) PF Responsible Focus (CHF) AT
13.64%
0.03%
LU0149534421 Schroder ISF Hong Kong Equity A Acc
8%
2.69%
LU0149525270 Schroder ISF Hong Kong Dollar Bond A Acc
0.7%
0.10%
LU0161534861 SWC (LU) PF Responsible Focus (CHF) AA
13.64%
0.03%
LU0188438112 Schroder ISF Asian Equity Yield A Acc
7.92%
1.14%
LU0232931963 Schroder ISF BRIC EUR A Acc
14.54%
2.77%
LU0248184466 Schroder ISF Asian Opportunities EUR A Acc
10.38%
1.02%
LU0957586737 SWC (LU) BF Global Absolute Return AAH EUR
5.61%
0.03%
LU0279459456 Schroder ISF Global Emer Mkt Opp EUR A Acc
10.39%
2.27%
LU0757360960 Schroder ISF Global Multi-Asset Inc A Dis EUR H QV
7.88%
0.04%
LU1458463236 JPM Global Income Conservative A Div EUR
4.58%
0.01%
LU0029874905 Templeton Emerging Markets A (Ydis) USD
11.76%
0.54%
LU0052750758 Templeton China A (acc) USD
6.55%
2.01%
LU0071006638 UBS (Lux) Bond Fund - Global Flexible (CHF) P-acc
3.49%
0.38%
LU0067412154 UBS (Lux) Eq Fd - China Opportunity (USD) P-acc
4.92%
0.17%
LU0057957291 UBS (Lux) Medium Term Bond Fd - EUR P-acc
5%
0.31%
LU0128522744 Templeton Emerging Markets A (acc) USD
11.76%
0.54%
LU0229946628 Templeton BRIC A (acc) EUR
12.14%
0.61%
LU0260864003 Templeton China A (Ydis) EUR
6.55%
2.01%
GB00B1PRWC80 Threadneedle China Opportunities Ret Net Acc USD
7.61%
0.49%
LU0608808167 Templeton Emerging Mkts Dyn Inc A (Ydis) EUR
5.99%
0.27%
LU0706127809 UBS (Lux) Bond S-Global Srt Term Flex(USD)(EUR)P-a
2.69%
0.38%
DE000ETFL326 Deka MSCI China UCITS ETF
6.52%
1.04%
DE0009773010 DWS Emerging Markets Typ O
12.28%
0.47%
LU0273164177 DWS Invest Chinese Equities USD LC
7.75%
0.73%
LU0273176932 DWS Invest Chinese Equities USD FC
7.75%
0.73%
LU0273146190 DWS Invest Chinese Equities FC
7.75%
0.73%
LU0273157635 DWS Invest Chinese Equities LC
7.75%
0.73%
LU0333022746 DWS Invest Chinese Equities GBP D RD
7.75%
0.73%
LU1663840285 DWS Invest Chinese Equities TFC
7.75%
0.73%
LU1663840368 DWS Invest Chinese Equities USD TFC
7.75%
0.73%
LU0360863863 ARERO - Der Weltfonds
10.86%
0.04%
LU0329760002 DWS Invest Emerging Markets Top Div LC
15.4%
0.25%
LU0329760267 DWS Invest Emerging Markets Top Div FC
15.4%
0.25%
LU0363468686 DWS Invest Emerging Markets Top Div LD
15.4%
0.25%
LU0329761406 DWS Invest Emerging Markets Top Div USD FC
15.4%
0.25%
LU1054328791 DWS Invest Emerging Markets Top Div ND
15.4%
0.25%
LU1663862685 DWS Invest Emerging Markets Top Div TFC
15.4%
0.25%
LU1663863816 DWS Invest Emerging Markets Top Div TFD
15.4%
0.25%
LU1663864624 DWS Invest Emerging Markets Top Div USD TFC
15.4%
0.25%
LU1663865944 DWS Invest Emerging Markets Top Div USD TFD
15.4%
0.25%
LU0210302369 DWS Invest Global Emerging Markets Eq FC
11.75%
0.48%
LU0210302013 DWS Invest Global Emerging Markets Eq LD
11.75%
0.48%
LU0210301635 DWS Invest Global Emerging Markets Eq LC
11.75%
0.48%
LU0273227354 DWS Invest Global Emerging Markets Eq USDFC
11.75%
0.48%
LU0273227784 DWS Invest Global Emerging Markets Eq USDLC
11.75%
0.48%
LU0781233548 DWS Invest II Asian Top Dividend FC
8.14%
0.55%
LU0781233118 DWS Invest II Asian Top Dividend LC
8.14%
0.55%
LU0781233381 DWS Invest II Asian Top Dividend LD
8.14%
0.55%
LU1663922927 DWS Invest Global Emerging Markets Eq TFC
11.75%
0.48%
LU1663925946 DWS Invest Global Emerging Markets Eq TFD
11.75%
0.48%
LU1663931084 DWS Invest Global Emerging Mrkts Eq USD TFC
11.75%
0.48%
LU1663959689 DWS Invest II Asian Top Dividend TFD
8.14%
0.55%
LU1865173345 DWS Invest Global Emerging Markets Equities USD LD
11.75%
0.48%
LU0145648290 DWS Invest Top Asia LC
9.17%
0.97%
LU0145649181 DWS Invest Top Asia FC
9.17%
0.97%
LU0145648456 DWS Invest Top Asia LD
9.17%
0.97%
LU0273161231 DWS Invest Top Asia USD LC
9.17%
0.97%
LU0273174648 DWS Invest Top Asia USD FC
9.17%
0.97%
LU0399358562 DWS Invest Top Asia GBP D RD
9.17%
0.97%
LU1663946868 DWS Invest Top Asia TFC
9.17%
0.97%
LU1663948211 DWS Invest Top Asia TFD
9.17%
0.97%
LU1663949888 DWS Invest Top Asia USD TFC
9.17%
0.97%
LU1054329336 DWS Invest Emerging Markets Top Div PFC
15.4%
0.25%
LU1054329419 DWS Invest Emerging Markets Top Div PFD
15.4%
0.25%
LU1876536902 DWS Invest Global Emerging Markets Equities LCH
11.75%
0.48%
LU1876537546 DWS Invest Global Emerging Markets Equities TFCH
11.75%
0.48%
LU2037859415 DWS Invest Gl Emerging Markets Equities GBP FD50
11.75%
0.48%
LU2037859506 DWS Invest Gl Emerging Markets Equities USD FD50
11.75%
0.48%
LU0616856422 DWS Invest China Bonds USD LC
6.59%
2.40%
LU0616856778 DWS Invest China Bonds USD FC
6.59%
2.40%
LU0632805262 DWS Invest China Bonds LCH
6.59%
2.40%
LU0632808951 DWS Invest China Bonds FCH
6.59%
2.40%
LU0740830996 DWS Invest China Bonds LDH
6.59%
2.40%
LU0740831614 DWS Invest China Bonds NCH
6.59%
2.40%
LU0813327896 DWS Invest China Bonds CHF LCH
6.59%
2.40%
LU0813328357 DWS Invest China Bonds CHF FCH
6.59%
2.40%
LU0813328787 DWS Invest China Bonds RMB LC
6.59%
2.40%
LU0813328860 DWS Invest China Bonds RMB FC
6.59%
2.40%
LU0616855887 DWS Invest China Bonds NC
6.59%
2.40%
LU0740832000 DWS Invest China Bonds NDH
6.59%
2.40%
LU0740831374 DWS Invest China Bonds FDH
6.59%
2.40%
LU1322112480 DWS Invest China Bonds SEK FCH
6.59%
2.40%
LU1322112563 DWS Invest China Bonds SEK LCH
6.59%
2.40%
LU1322112647 DWS Invest China Bonds USD FCH (P)
6.59%
2.40%
LU1322112720 DWS Invest China Bonds USD LDH (P)
6.59%
2.40%
LU1322112993 DWS Invest China Bonds USD LDMH (P)
6.59%
2.40%
LU1054325771 DWS Invest China Bonds NDQH
6.59%
2.40%
LU1663839949 DWS Invest China Bonds TFCH
6.59%
2.40%
LU1663840103 DWS Invest China Bonds USD TFC
6.59%
2.40%
LU1054325854 DWS Invest China Bonds PFCH
6.59%
2.40%
LU1054325938 DWS Invest China Bonds PFDQH
6.59%
2.40%
LU0292109856 Xtrackers FTSE China 50 UCITS ETF
14.31%
2.66%
LU0322252171 Xtrackers MSCI AC Asia ex Japan Swap UCITS ETF 1C
10%
0.35%
LU0432553047 Xtrackers CSI300 Swap UCITS ETF 1D
11.56%
0.54%
LU0455008887 Xtrackers CSI300 Swap UCITS ETF 2D
11.56%
0.54%
LU0514695690 Xtrackers MSCI China UCITS ETF 1C
6.94%
0.93%
LU0514695856 Xtrackers MSCI China UCITS ETF 2C
6.94%
0.93%
LU0779800910 db x-trackers CSI300 Index UCITS ETF 1C
11.56%
0.54%
LU0875160326 Xtrackers Harvest CSI300 UCITS ETF
11.58%
0.54%
IE00BGHQ0G80 Xtrackers MSCI AC World UCITS ETF
21.27%
0.03%
IE00BM67HJ62 Xtrackers FTSE All-World ex UK UCITS ETF
20.57%
0.04%
LU1310477036 Xtrackers Harvest FTSE China A-H 50 UCITS ETF
16.15%
0.85%
LU0292107645 Xtrackers MSCI Emerging Markets Swap UCITS ETF 1C
12.18%
0.30%
LU0292107991 Xtrackers MSCI EM Asia Swap UCITS ETF 1C
10.89%
0.41%
IE00BTJRMP35 db x-trackers MSCI Em Mkts Index UCITS ETF (DR)1C
12.18%
0.31%
LU1409136006 Xtrackers II USD Asia ex Japan Crp Bd UCITS ETF 1D
9.03%
4.77%
LU0046307343 UniEuroKapital
3.79%
0.29%
LU0089559057 UniEuroKapital -net-
4.79%
0.51%
LU0115904467 UniEM Global A
10.16%
0.33%
LU0383775318 UniRak Emerging Markets A
7.7%
0.24%
LU0383775664 UniRak Emerging Markets -net- A
7.7%
0.24%
LU0489951870 Quoniam Fd Sel. SICAV EM Eq. MinRisk EUR A
6.79%
1.23%
LU1248517937 UniInstitutional EM Corporate Bonds 2022
10.56%
1.01%
DE000A1C81M9 UniInstitutional Laufzeitfonds 2024
9.88%
0.71%
DE000A0RPAQ6 BBBank Renta Select 2021
4.08%
0.82%
DE0002605037 Selection Rendite Plus I FNG-Siegelfonds
13.26%
0.41%
LU0139792278 Sparinvest-Procedo EUR R
14.7%
0.02%