Informationen zum Unternehmen
Name Commonwealth Bank of Australia
ISIN AU000000CBA7
Website https://www.commbank.com.au
Konflikte
Erläuterung Die Commonwealth Bank of Australia ist Australiens größtes Finanzdienstleistungsunternehmen mit Sitz in Sydney. 2017 wurde das Unternehmen von der australischen Bundesstelle für Finanzienstleistungsaufsicht AUSTRAC wegen Geldwäsche und Terrorismusfinanzierung angeklagt. Die Geldautomaten der Bank sollen dafür genutzt worden sein, um Gelder aus terroristischen Aktivitäten zu waschen. Dies sei laut CBA auf technische Probleme bei der Verschlüsselung der Automaten zurück zu führen. Die Bank gab jedoch zu, ihre Geldautomaten vorher nicht auf mögliche Risiken überprüft zu haben. Außerdem habe sie zwischen 2012 und 2015 tausende von Transaktionen nicht überwacht oder gemeldet und daher seit November 2012 in 53,750 Fällen gegen entsprechende Gesetze verstoßen.
Die Nachhaltigkeits-Ratingagentur Sustainalytics bewertete das Vergehen der Bank aufgrund der Risiken für Anteilseigner und Kunden, das australische Bankensystem und die nationale Sicherheit mit der Kategorie 4 (hoch, siehe Quellen in der Methodik). Sustainalytics umfasst mit seinem Bericht vom Juli 2019 auch das neuseeländische Tochterunternehmen ASB Finance Limited.
Diese Einschätzung kontrastiert mit dem Maßnahmenkatalog, den das Unternehmen für soziale oder ökologische Belange oder Aspekte der Unternehmensführung formuliert hat. Nach Sustainalytics erzielt die Commonwealth Bank of Australia hier 76 von 100 Punkten (Overall ESG Score: 76 = Outperformer).
Quellen Sustainalytics Controversity Report Commonwealth Bank of Australia (Stand: Juli 2018)
Anzahl laufender Anleihen 1.692
Anzahl beinhaltender Fonds 252
Fonds, die Aktien oder Anleihen des Unternehmens halten
ISIN des Fonds Name Bemerkung Gesamthöhe kontroverser Unternehmensbeteiligungen Höhe der Beteiligung in Commonwealth Bank of Australia
DE0008476250 Kapital Plus A (EUR)
4.83%
0.14%
LU0293294277 Allianz Enhanced Short Term Euro - AT - EUR
3.64%
0.79%
LU0293294434 Allianz Enhanced Short Term Euro - CT - EUR
3.64%
0.79%
LU0678493965 Allianz Enhanced Short Term Euro-S(H2-NOK)-NOK
3.64%
0.79%
LU0678493700 Allianz Enhanced Short Term Euro-S(H2-AUD)-AUD
3.64%
0.79%
LU0856992614 Allianz Adv Fix Inc Sh Dur A EUR
6.29%
0.03%
DE0009797589 Kapital Plus P2 (EUR)
4.83%
0.14%
LU1069922828 Allianz Adv Fix Inc Sh Dur Euro Res Plus P+G A2EUR
6.29%
0.03%
LU1069922661 Allianz Adv Fix Inc Sh Dur Euro Res Plus WM P EUR
6.29%
0.03%
LU1149865690 Allianz Euro Credit SRI - R - EUR
14.29%
0.70%
LU1149865930 Allianz Euro Credit SRI - A - EUR
14.29%
0.70%
LU1145633407 Allianz Euro Credit SRI - AT - EUR
14.29%
0.70%
LU1173936078 Allianz Euro Credit SRI - RT - EUR
14.29%
0.70%
LU0706717351 Allianz Advanced Fixed Income Euro - A - EUR
5.96%
0.24%
LU1260871014 Allianz Advanced Fixed Inc Global Aggregate A EUR
6.24%
0.46%
LU1272325553 Allianz Adv Fix Inc Sh Dur P EUR
6.29%
0.03%
LU1209235446 Allianz Advanced Fixed Income Global - A - EUR
3.74%
0.23%
DE000A14N9U7 Kapital Plus P (EUR)
4.83%
0.14%
LU1291196241 Allianz Capital Plus - AT (H2-CZK) - CZK
3.54%
0.10%
LU1254136416 Allianz Capital Plus - AT - EUR
3.54%
0.10%
LU1254136507 Allianz Capital Plus - CT - EUR
3.54%
0.10%
LU1317421185 Allianz Advanced Fixed Inc Global Aggregate R EUR
6.24%
0.46%
LU1317421268 Allianz Advanced Fixed Inc Global Aggregate RT EUR
6.24%
0.46%
LU1349982451 Allianz Advanced Fixed Income Global Agg AT H2-PLN
6.24%
0.46%
LU1349983269 Allianz Capital Plus - AT (H2-PLN)
3.54%
0.10%
LU1349982964 Allianz Enhanced Short Term Euro - AT (H2-PLN)
3.64%
0.79%
LU1405890630 Allianz Advanced Fixed Income Global Agg PT H2-CHF
6.24%
0.46%
LU1459823677 Allianz Advanced Fixed Income Euro- CT EUR
5.96%
0.24%
LU1328248510 Allianz Euro Credit SRI -CT-EUR
14.29%
0.70%
LU1331159357 Allianz Euro Credit SRI -PT-EUR
14.29%
0.70%
LU1205638155 Allianz Advanced Fixed Income Euro - AT EUR
5.96%
0.24%
LU1504571149 Allianz Adv Fix Inc Sh Dur AT EUR
6.29%
0.03%
LU1685828623 Allianz Advanced Fixed Income Global - R - EUR
3.74%
0.23%
LU1687708989 Allianz Capital Plus - R - EUR
3.54%
0.10%
LU1687709011 Allianz Enhanced Short Term Euro - RT - EUR
3.64%
0.79%
LU1322973121 Allianz Advanced Fixed Income Euro - RT - EUR
5.96%
0.24%
LU1677193176 Allianz Adv Fix Inc Sh Dur RT EUR
6.29%
0.03%
LU1677193507 Allianz Capital Plus - RT - EUR
3.54%
0.10%
DE000A2DU1L9 Kapital Plus R (EUR)
4.83%
0.14%
LU1706852370 Allianz Advanced Fixed Income Euro - P - EUR
5.96%
0.24%
LU1706852453 Allianz Euro Credit SRI - P - EUR
14.29%
0.70%
LU1740663296 Allianz Advanced Fixed Income Short Duration R EUR
6.29%
0.03%
LU1740661084 Allianz Global Floating Rate N Plus-A(H2-EUR)-EUR
14.48%
1.07%
LU1740661167 Allianz Global Floating Rate No Pl -AT(H2-EUR)-EUR
14.48%
1.07%
LU1740659690 Allianz Global Floating Rate Notes Plus - AT - USD
14.48%
1.07%
LU1752426780 Allianz Enhanced Short Term Euro - A - EUR
3.64%
0.79%
LU1752426434 Allianz Enhanced Short Term Euro - P - EUR
3.64%
0.79%
LU1807156069 Allianz Global Floating Rate Notes Plus - AQ - USD
14.48%
1.07%
LU1846563374 Allianz Global Fl Rate Notes Plus-AMg(H2-SGD)-SGD
14.48%
1.07%
LU1846562483 Allianz Global Floating Rate Notes Plus - AMg -USD
14.48%
1.07%
LU1851368099 Allianz Euro Credit SRI - R2 - EUR
14.29%
0.70%
LU1851368172 Allianz Euro Credit SRI-RT2-EUR
14.29%
0.70%
LU1851368339 Allianz Global Floating Rate Notes Plus - AMg -HKD
14.48%
1.07%
LU1851368412 Allianz Global Floating Rate Notes P-AT(H2-SGD)SGD
14.48%
1.07%
LU1851368503 Allianz Global Floating Rate Notes Plus - AT - HKD
14.48%
1.07%
LU1861128491 Allianz Global Floating Rate No Pl-AMg3(H2-SGD)SGD
14.48%
1.07%
LU1859410943 Allianz Global Floating Rate Notes Plus-AMg3-HKD
14.48%
1.07%
LU1859410869 Allianz Global Floating Rate Notes Plus-AMg3-USD
14.48%
1.07%
LU1859410513 Allianz Global Floating Rate Notes Plus - AT3 -USD
14.48%
1.07%
LU1873969643 Allianz Global Floating Rate Notes Pl-A3(H2EUR)EUR
14.48%
1.07%
LU1873969726 Allianz Global Floating Rate Notes Plus - A3 - USD
14.48%
1.07%
LU1890836619 Allianz Global Floating Rate Nts Pl-AMg(H2-AUD)AUD
14.48%
1.07%
LU1931925306 Allianz Global Floating Rate Notes Plus - AM (H2-AUD) - AUD
14.48%
1.07%
LU1931925561 Allianz Global Floating Rate N Plus AM(H2-NZD)NZD
14.48%
1.07%
LU1931925488 Allianz Global Floating Rate Notes Plus-AM-HKD
14.48%
1.07%
LU1934579084 Allianz Global Floating Rate Notes Plus - AM - USD
14.48%
1.07%
LU1941711530 Allianz Advanced Fixed Income Euro-Y14-EUR
5.96%
0.24%
LU1941711613 Allianz Advanced Fixed Income Short Durat Y14 EUR
6.29%
0.03%
LU1941711456 Allianz Enhanced Short Term Euro-Y14-EUR
3.64%
0.79%
LU0039499404 Allianz Pfandbrieffonds - AT - EUR
4.62%
0.94%
DE0008475054 Allianz Internationaler Rentenfonds - A -EUR
1.43%
0.54%
LU0178431259 Allianz Treasury Short Term Plus Euro-A-EUR
6.07%
1.55%
LU1068829677 Allianz Pfandbrieffonds - P - EUR
4.62%
0.94%
LU1089089475 Allianz Laufzeitfonds Extra 2019 - A - EUR
5.28%
1.33%
LU1132057099 Allianz Treasury Short Term Plus Euro - P2 - EUR
6.07%
1.55%
DE000A14N9T9 Allianz Internationaler Rentenfonds - P - EUR
1.43%
0.54%
LU1677199538 Allianz Treasury Short Term Plus Euro - R - EUR
6.07%
1.55%
DE000A2AMPS9 Allianz Internationaler Rentenfonds - R -EUR
1.43%
0.54%
LU1740661597 Allianz Global Floating Rate N Plus-P (H2-EUR)-EUR
14.48%
1.07%
LU1740662058 Allianz Global Floating Rate N Plus-P10(H2-EUR)EUR
14.48%
1.07%
LU1740660607 Allianz Global Floating Rate Notes Plus -P10-USD
14.48%
1.07%
LU1740660862 Allianz Global Floating Rate Notes P-R(H2-EUR)-EUR
14.48%
1.07%
LU1740660946 Allianz Global Floating Rate Note P-RT(H2-EUR)-EUR
14.48%
1.07%
LU1807156143 Allianz Global Floating Rate Notes Plus - PQ - USD
14.48%
1.07%
LU1740659344 Allianz Global Floating Rate Notes Plus - RT - USD
14.48%
1.07%
LU1859410786 Allianz Global Float Rate Notes Plus-AT3(H2CHF)CHF
14.48%
1.07%
LU1859410604 Allianz Global Float Rate Notes Pls-AT3(H2-EUR)EUR
14.48%
1.07%
LU1860909420 Allianz Global Floating Rate Notes Plus-RM10-USD
14.48%
1.07%
LU1859410356 Allianz Global Floating Rate Ns Pl-RT10(H2-CHF)CHF
14.48%
1.07%
LU1859410190 Allianz Global Floating Rate Ns Pl-RT10(H2-EUR)EUR
14.48%
1.07%
LU1859410430 Allianz Gl Floating Rate Note Plus-RT10(H2-GBP)GBP
14.48%
1.07%
LU1859409937 Allianz Global Floating Rate Notes Plus-RT10-USD
14.48%
1.07%
LU1865151887 Allianz Global Floating Rate Notes Pl-P(H2-GBP)GBP
14.48%
1.07%
LU1914381675 Allianz Global Floating Rate Notes RM10 (H2-SGD)
14.48%
1.07%
LU1914381592 Allianz Global Floating Rate Notes RM10 (HKD)
14.48%
1.07%
LU1931926536 Allianz Global Floating Rate Notes Plus-RT-EUR
14.48%
1.07%
LU1931926452 Allianz Treasury Short Term Plus Euro - RT - EUR
6.07%
1.55%
LU0050372472 BGF Euro Bond A2 EUR
5.5%
0.05%
LU0297135294 Deka-OptiRent 3y CF
5.73%
1.52%
LU0332479749 Deka-OptiRent 3y TF
5.73%
1.52%
DE000A0M6J90 StarCapital-Corporate Bond-INVEST
7.2%
2.31%
LU0451950405 Janus Henderson HF Euro Corporate Bond A3 EUR
16.29%
0.19%
LU0430493139 JPM Aggregate Bond A Acc USD
4.9%
0.28%
LU0430493212 JPM Aggregate Bond A Acc EUR Hdg
4.9%
0.28%
LU0430265933 BGF Euro Bond A4 EUR
5.5%
0.05%
LU0562246370 JPM EM Investment Grade Bond A Dis EUR Hdg
1.54%
0.01%
LU0560335993 JPM Emerging Markets Corporate Bond A Dis EUR Hgd
2.9%
0.02%
DE000A2DJVM0 VAG Weltzins Invest
5.18%
0.21%
LU0141247303 SWC (LU) BF AUD AA
2.39%
0.44%
LU0141248293 SWC (LU) BF CHF AA
5.84%
2.75%
LU0141248459 SWC (LU) BF EUR AA
3.77%
0.88%
LU0081697723 SWC (LU) BF International AA
7.11%
0.79%
LU0035338325 UBS (Lux) Bond Fund - AUD P-acc
4.41%
3.63%
LU0010001369 UBS (Lux) Bond Fund - CHF P-acc
12.69%
0.84%
LU0033050237 UBS (Lux) Bond Fd - EUR Flexible P-acc
8.99%
0.05%
LU0035346187 UBS (Lux) Bond Fund - GBP P-acc
11.27%
1.03%
LU0071006638 UBS (Lux) Bond Fund - Global Flexible (CHF) P-acc
5.7%
0.14%
LU0074904532 UBS (Lux) Medium Term Bond Fund - AUD P-acc
4.6%
3.01%
LU0057954868 UBS (Lux) Medium Term Bond Fund - CHF P-acc
13.53%
1.02%
LU0057957291 UBS (Lux) Medium Term Bond Fd - EUR P-acc
8.45%
0.45%
LU0074904888 UBS (Lux) Medium Term Bond Fd - GBP P-acc
7.78%
0.55%
LU0149525270 Schroder ISF Hong Kong Dollar Bond A Acc
2.59%
0.42%
LU0151774626 UBS (Lux) Bond S - Short Term EUR Corp (EUR) P-a
21.86%
1.01%
LU0151774972 UBS (Lux) Bond S - Short Term USD Corp (USD) P-a
30.41%
1.43%
LU0162626096 UBS (Lux) Bond S - EUR Corporates (EUR) P-acc
21.7%
0.52%
LU0494188096 SWC (LU) BF Global Corporate ATH EUR
18.94%
0.32%
LU0332400315 JPM Em Mkts Local Currency Debt A Dis EUR
0.01%
0.01%
LU0563303998 LO Funds - Euro BBB-BB Fundamental (EUR) P A
7.5%
0.45%
LU0706127809 UBS (Lux) Bond S-Global Srt Term Flex(USD)(EUR)P-a
5.98%
0.13%
LU1039371676 JPM Global Bond Opps A Dis EUR Hgd
5.45%
0.00%
LU0390134954 Franklin World Perspectives A (acc) EUR
10.29%
0.19%
LU0390134368 Franklin World Perspectives A (acc) USD
10.29%
0.19%
LU0070217475 JPM Global Select Equity A Acc USD
19.37%
0.01%
LU0070214290 JPM US Select Equity A Acc USD
19.24%
0.00%
LU0089639750 JPM Global Unconstrained Equity A Dis USD
19.41%
0.00%
LU0053666078 JPM America Equity A Dis USD
15.68%
0.00%
LU0051759099 JPM Emerging Europe Equity A Dis EUR
16.65%
0.01%
LU0074838565 JPM Emerging EMEA Eq A Dis USD
7.25%
0.01%
LU0053685615 JPM Emerging Markets Equity A Dis USD
6.73%
0.00%
LU0053687314 JPM Latin America Equity A Dis USD
4.46%
0.00%
LU0053697206 JPM US Smaller Companies A Dis USD
0.01%
0.01%
LU0119067295 JPM Global Dynamic A Dis USD
16.54%
0.00%
LU0119063898 JPM US Growth A Dis USD
17.59%
0.01%
LU0119066131 JPM US Value A Dis USD
20.09%
0.01%
LU0168341575 JPM Global Focus A Dis EUR
13.77%
0.00%
LU0215049551 JPM Russia A Dis USD
19.46%
0.00%
LU0157182857 JPM US Select Equity A Acc EUR Hdg
19.24%
0.00%
LU0159042083 JPM America Equity A Acc EUR Hdg
15.68%
0.00%
LU0318934451 JPM Brazil Equity A Acc USD
8.1%
0.00%
LU0318933057 JPM Emerging Markets Small Cap A (perf) Acc EUR
0.5%
0.00%
LU0862449773 JPM Emerging Markets Dividend A Dis EUR
12.42%
0.00%
LU0897034418 JPM Global Healthcare A Dis EUR
15.54%
0.01%
LU1839390173 JPM ASEAN Equity A Dis USD
3.79%
0.01%
LU0070212591 JPM Global Balanced A Acc EUR
8.04%
0.06%
LU0957039414 JPM Global Balanced A Acc USD Hgd
8.04%
0.06%
LU1458463236 JPM Global Income Conservative A Div EUR
5.35%
0.01%
LU0044681806 UBS (Lux) Eq Fd - Australia (AUD) P-acc
15.7%
9.46%
DE000DK2CE40 Mainfranken Strategiekonzept
10.16%
0.15%
LU0117844026 JPM Asia Pacific Income A Dis USD
11.04%
0.01%
LU0247991317 JPM Global Balanced A Dis EUR
8.04%
0.06%
LU0395794307 JPM Global Income A Div EUR
8.49%
0.02%
LU0840466477 JPM Global Income A Dis EUR
8.49%
0.02%
LU1458463152 JPM Global Income Conservative A Dis EUR
5.35%
0.01%
LU0099730524 Deutsche Institutional Money plus IC
4.95%
0.59%
LU0080237943 DB Portfolio Euro Liquidity
6.74%
0.27%
LU0011254512 DWS Euro Reserve LC
10.45%
1.09%
DE0008476532 DWS Covered Bond Fund LD
2.1%
0.62%
DE0008474198 DWS Balance
5.61%
0.09%
DE0008474230 DWS Flexzins Plus
5.93%
2.19%
LU0044387529 DWS ESG Euro Bonds (Long) LC
3.17%
0.44%
DE0008474032 DWS Euroland Strategie (Renten) LD
7.71%
0.36%
LU0034353002 DWS Floating Rate Notes LC
13.53%
1.33%
LU0146220040 Deutsche Institutional USD Money plus
10.71%
1.17%
LU0193172185 Deutsche Institutional Cash Plus IC
7.08%
0.92%
LU0224902659 Deutsche Institutional Yield
9.6%
0.78%
DE0009778597 Best Managers Concept I
11.83%
2.83%
LU0360863863 ARERO - Der Weltfonds
9.62%
0.10%
LU0654992402 DB Fixed Income Opportunities ADV (USD)
10.09%
0.62%
DE000DWS1UR7 DWS Defensiv LC
3.41%
0.05%
LU1120400566 DWS Institutional Vario Yield
11.07%
0.88%
LU0069679222 DWS Rendite Optima
8.95%
0.93%
LU0145655824 DWS Invest ESG Euro Bonds (Short) LC
20.46%
1.25%
LU0225880524 DWS Rendite Optima Four Seasons
5.34%
0.73%
LU0544571200 DWS Invest Multi Asset Balance LC
17.17%
0.33%
LU1054320384 DWS Invest Multi Asset Dynamic LC
19.13%
0.49%
LU0982744301 DWS Invest ESG Global Corporate Bonds FC
9.28%
0.92%
LU1249492460 DWS Invest Multi Credit USD LD
10.58%
0.74%
LU0041580167 Deutsche Floating Rate Notes USD LD
16.22%
1.84%
DE0009848044 E.ON Rentenfonds DWS
7.58%
2.82%
DE000DWS0TS9 FOS Strategie-Fonds Nr. 1
4.47%
1.21%
LU0649391066 DWS Zinseinkommen EUR
6.33%
0.58%
LU0055734320 UniReserve: Euro A
11.96%
1.27%
LU0059863547 UniReserve: USD A
9.56%
0.66%
DE0008491085 UniKapital
7.73%
0.67%
DE0009750174 UniKapital -net-
7.76%
0.66%
DE0009750133 UnionGeldmarktFonds
3.7%
1.64%
LU0051064516 UniOptima
8.68%
1.29%
LU0061890835 UniOptimus -net-
7.36%
0.86%
LU0039632921 UniRenta Corporates A
22.89%
0.81%
DE0008491044 UniRak
12.91%
0.32%
DE0005314462 UniRak -net-
12.91%
0.32%
DE000A1C81C0 UniRak Konservativ A
7.73%
0.05%
DE000A1C81D8 UniRak Konservativ-net-A
7.73%
0.05%
LU1073949668 UniKonzept: Portfolio A
8.3%
1.03%
LU1073950245 UniKonzept: Portfolio -net- A
8.3%
1.03%
LU1282970497 UniRenta Corporates I
22.89%
0.81%
DE0009766857 FVB-Renten Plus
3.57%
1.06%
DE0009750000 KCD-Union Nachhaltig MIX
3.12%
0.61%
DE0008491226 LIGA-Pax-Rent-Union
8.33%
2.25%
LU0100938306 UniAsiaPacific -net- A
12.83%
2.29%
LU0100937670 UniAsiaPacific A
12.83%
2.29%
LU0046307343 UniEuroKapital
5.49%
0.21%
DE0008491069 UniEuroRenta
2.65%
0.33%
LU0089559057 UniEuroKapital -net-
5.78%
0.32%
LU0168092178 UniEuroKapital Corporates A
8.83%
0.22%
LU0168093226 UniEuroKapital Corporates -net- A
8.83%
0.22%
LU0199537852 LIGA-Pax-Corporates-Union
10.87%
1.19%
DE0009757633 UniInstitutional Euro Covered Bonds 4-6 years Sust
9.18%
1.51%
LU0993948974 UniEuroRenta Untermehmensanleihen 2020 A
11.57%
0.68%
LU0993954352 UniEuroRenta Untermehmensanleihen 2020 -net- A
11.57%
0.68%
LU1172417856 LIGA Portfolio Concept
4.19%
1.89%
DE000A1C81J5 UniInstitutional Euro Reserve Plus EUR
16.71%
0.78%
DE000A2AR3S8 KCD-Union Nachhaltig MIX I
3.12%
0.61%
LU1731629959 LIGA Portfolio Concept I
4.19%
1.89%
AT0000785381 Raiffeisen-Nachhaltigkeit-Mix R VTA FNG-Siegelfonds
1.63%
0.07%
AT0000805361 Raiffeisen-Nachhaltigkeit-Mix R T FNG-Siegelfonds
1.63%
0.07%
LU1256228872 Commerzbank Globale Aktien - Katholische Werte R FNG-Siegelfonds
7.61%
1.06%
LU1256228799 Commerzbank Globale Aktien - Katholische Werte I FNG-Siegelfonds
7.61%
1.06%
AT0000A1G2L0 Raiffeisen-Nachhaltigkeit-Mix I A FNG-Siegelfonds
1.63%
0.07%
AT0000A1TWK1 Raiffeisen-Nachhaltigkeit-Mix RZ A FNG-Siegelfonds
1.63%
0.07%
AT0000A1TWJ3 Raiffeisen-Nachhaltigkeit-Mix RZ T FNG-Siegelfonds
1.63%
0.07%
AT0000A1VG68 Raiffeisen-Nachhaltigkeit-Mix I VTA FNG-Siegelfonds
1.63%
0.07%
AT0000A1DU47 Raiffeisen-Nachhaltigkeit-Solide (R) T FNG-Siegelfonds
2.09%
0.19%
AT0000A1DU62 Raiffeisen-Nachhaltigkeit-Solide (I) T FNG-Siegelfonds
2.09%
0.19%
AT0000A1DU70 Raiffeisen-Nachhaltigkeit-Solide (I) A FNG-Siegelfonds
2.09%
0.19%
AT0000A1DU54 Raiffeisen-Nachhaltigkeit-Solide (R) A FNG-Siegelfonds
2.09%
0.19%
AT0000A1QA79 ERSTE RESPONSIBLE STOCK DIVIDEND (T) FNG-Siegelfonds
3.65%
1.63%
AT0000A1QA87 ERSTE RESPONSIBLE STOCK DIVIDEND (V) FNG-Siegelfonds
3.65%
1.63%
AT0000A1TMK2 Raiffeisen-Nachhaltigkeit-Solide (RZ) T FNG-Siegelfonds
2.09%
0.19%
AT0000A1TML0 Raiffeisen-Nachhaltigkeit-Solide (RZ) A FNG-Siegelfonds
2.09%
0.19%
AT0000A1QA61 ERSTE RESPONSIBLE STOCK DIVIDEND (A) FNG-Siegelfonds
3.65%
1.63%
AT0000A1TWL9 Raiffeisen-Nachhaltigkeit-Mix RZ VTA FNG-Siegelfonds
1.63%
0.07%
AT0000A1VP59 Raiffeisen-Nachhaltigkeit-Solide (R) VTA FNG-Siegelfonds
2.09%
0.19%
AT0000A1VP42 Raiffeisen-Nachhaltigkeit-Solide (S) A FNG-Siegelfonds
2.09%
0.19%
AT0000A1YC10 Raiffeisen-Nachhaltigkeit-Solide (RZ) (VA) FNG-Siegelfonds
2.09%
0.19%
AT0000A20F02 Raiffeisen-Nachhaltigkeit-Solide (I) VTA FNG-Siegelfonds
2.09%
0.19%
AT0000859517 Raiffeisen-Nachhaltigkeit-Mix R A FNG-Siegelfonds, Oeko-Test
1.63%
0.07%
AT0000642632 KEPLER Ethik Rentenfonds T Oeko-Test
3.01%
0.24%
LU0208341965 SWC (LU) PF Sustainable Balanced (EUR) AA Oeko-Test
8.62%
0.18%
DE000DWS0XF8 FOS Rendite und Nachhaltigkeit A Oeko-Test
6.02%
1.32%
LU0703711035 Deka-Nachhaltigkeit Renten CF(A) Oeko-Test
7.68%
0.02%
DE000A1JB4P2 iShares DJ Gl Sustainability Scrnd UCITS ETF (GER) Oeko-Test
13.44%
0.64%