Informationen zum Unternehmen
Name Petroleo Brasileiro SA – Petrobras
ISIN BRPETRACNOR9
US71654V4086
Website http://www.petrobras.com.br/
Konflikte
Erläuterung Petrobras (Petróleo Brasileiro S.A.) ist ein brasilianisches halbstaatliches Mineralölunternehmen und betreibt Ölfelder, Raffinerien sowie petrochemische Anlagen und unterhält ein Tankstellennetz in Lateinamerika. Petrobras 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.
Gemäß CDP Carbon Majors Report 2017 stießen 100 Hersteller fossiler Brennstoffe zwischen 1854 und 2015 insgesamt 923 Milliarden Tonnen CO2-Äquivalent (GtCO2e) aus, davon die Hälfte erst seit 1986. Somit sind diese 100 Unternehmen für 52% aller industriellen Treibhausgasemissionen seit 1751 verantwortlich. Petrobras war laut der Studie mit über 6,9 GtCO2e für 0,8% der globalen Emissionen verantwortlich und ist damit auf Platz 22 der größten Emittenten weltweit.
Quellen Climate Action 100+ Liste der 100 Fokusunternehmen (Stand: Sep. 2019)
CDP Carbon Majors Report 2017
Anzahl laufender Anleihen 76
Anzahl beinhaltender Fonds 330
Fonds, die Aktien oder Anleihen des Unternehmens halten
ISIN des Fonds Name Bemerkung Gesamthöhe kontroverser Unternehmensbeteiligungen Höhe der Beteiligung in Petroleo Brasileiro SA – Petrobras
DE0009757831 UniEuroRenta HighYield
6.51%
0.36%
LU0115904467 UniEM Global A
10.73%
0.86%
LU0149266669 UniEuroRenta EmergingMarkets
5.88%
2.33%
LU0247467987 UniReserve: Euro-Corporates
10.97%
1.42%
DE0008477035 Global Select Portfolio I
8.46%
0.39%
LU0383775318 UniRak Emerging Markets A
8.12%
0.71%
LU0383775664 UniRak Emerging Markets -net- A
8.12%
0.71%
DE0009757732 UniInstitutional EM Bonds Spezial
1.82%
0.81%
DE0009757955 UniInstitutional EM Bonds
0.87%
0.65%
DE000A0Q2HT7 UniInstitutional Euro Corporate Bonds 2021
16.21%
0.88%
LU0482734919 UniInstitutional EM Sovereigns Bonds
0.33%
0.33%
DE000A1C81M9 UniInstitutional Laufzeitfonds 2024
8.56%
0.82%
LU1589413688 UniInstitutional EM High Yield Bonds D
3.15%
1.60%
DE000A0KDYE3 GI Portfolio I
10.56%
0.97%
LU0158528447 Deka-Wandelanleihen CF
13.19%
0.13%
LU0158529254 Deka-Wandelanleihen TF
13.19%
0.13%
LU0245287742 Deka-Global ConvergenceRenten CF
3.16%
0.88%
LU0245302137 Deka-Global ConvergenceRenten TF
3.16%
0.88%
LU0271177163 Deka-Global ConvergenceAktien CF
8.85%
0.45%
LU0271177593 Deka-Global ConvergenceAktien TF
8.85%
0.45%
DE000DK2EAL7 Deka-Globale Renten High Income CF
5.12%
1.92%
DE000DK2EAM5 Deka-Globale Renten High Income TF
5.12%
1.92%
DE000DK2J6Q9 Deka-RentenStrategie Global TF
5.61%
1.30%
DE000DK2J6P1 Deka-RentenStrategie Global CF
5.61%
1.30%
DE0008479254 EuroRent-EM-INVEST
7.77%
1.80%
DE0008479213 Multirent-INVEST
4.18%
0.63%
DE0009786061 Multizins-INVEST
4.01%
0.67%
DE000A0ERYQ0 Keppler-Emerging Markets-INVEST
18.47%
1.04%
DE000A1CXYM9 Weltzins-INVEST (P)
2.09%
0.32%
DE000A1JSHJ5 Weltzins-INVEST (I)
2.09%
0.32%
DE000DK2EAH5 Deka-RentSpezial High Income 9/2020 CF
9.58%
0.99%
DE000A0M6KA6 Weltzins-INVEST (T)
2.09%
0.32%
DE000DK2J6K2 Deka-RentSpezial EM 3/2021 CF
8.24%
3.23%
DE000DK2J6R7 Deka-RentenStrategie Global PB
5.61%
1.30%
DE000DK2J8L6 Deka-RentSpezial HighYield 9/2023
4.48%
0.49%
DE000A2DJVM0 VAG Weltzins Invest
2%
0.34%
LU1685587591 Deka-MultiFactor Global Corporates HY I
5.05%
1.31%
LU1685587914 Deka-MultiFactor Emerging Markets Corporates I
5.44%
2.46%
LU1685588219 Deka-MultiFactor Global Corporates I
9.22%
0.25%
LU0093504206 BGF Global High Yield Bond A2 EUR Hedged
4.54%
1.78%
LU0006061385 BGF Global Government Bond A2 USD
1.77%
0.17%
LU0096258362 BGF US Dollar Bond A2 USD
3.61%
0.06%
LU0171275786 BGF Emerging Markets A2 EUR
4.15%
2.47%
LU0171289498 BGF Latin American A2 EUR
8.36%
4.55%
LU0184696937 BGF World Bond A2 USD
3.73%
0.20%
LU0973708182 BGF Fixed Income Gbl Opportunities A4 EUR Hedged
2.57%
0.24%
LU0784383712 BGF Global Multi-Asset Income A4G EUR Hedged
4.51%
0.19%
LU1129851157 Fidelity Funds - Gl MA Income A-GDIST-EUR H
5.89%
0.01%
LU0133266147 Goldman Sachs Em Markets Debt Pf E Acc EUR
1.71%
0.29%
LU0395794307 JPM Global Income A Div EUR
7.1%
0.03%
LU0560335993 JPM Emerging Markets Corporate Bond A Dis EUR Hgd
7.53%
2.27%
LU0772501077 Goldman Sachs Em Markets Debt Pf OCS EUR-H
1.71%
0.29%
LU0840466477 JPM Global Income A Dis EUR
7.1%
0.03%
LU0906949010 Goldman Sachs Glo Strat Inc Bond Pf OCS EUR-H
0.28%
0.02%
LU0910636389 Goldman Sachs Em Mkts Debt Blend Pf Base USD
2.08%
0.59%
LU0953163366 JPM Emerging Markets Strategic Bd A (perf)DisEUR H
2.24%
0.52%
LU1004473630 JPM Global Strategic Bd A (perf) Dis EUR Hgd
2.73%
0.12%
LU1039371676 JPM Global Bond Opps A Dis EUR Hgd
4.44%
0.25%
LU1093756598 Franklin K2 Alternative Strategies A (Ydis) USD
1.53%
0.15%
LU1212701707 Franklin K2 Alternative Strategies A (Ydis) EUR-H1
1.53%
0.15%
LU1458463152 JPM Global Income Conservative A Dis EUR
4.36%
0.04%
LU0106252389 Schroder ISF Emerging Markets A Acc
9.2%
0.93%
LU0106258311 Schroder ISF Global Corporate Bond A Acc
6.07%
0.07%
LU0106259046 Schroder ISF Latin American A Acc
9.76%
5.22%
LU0106260564 Schroder ISF US Dollar Bond A Acc
4.99%
0.16%
LU0113257694 Schroder ISF EURO Corp Bd A Acc
7.32%
0.13%
LU0189893018 Schroder ISF Global High Yield A Acc
3.11%
0.11%
LU0189894842 Schroder ISF Global High Yield EUR Hedged A Acc
3.11%
0.11%
LU0232931963 Schroder ISF BRIC EUR A Acc
12.46%
0.86%
LU0957586737 SWC (LU) BF Global Absolute Return AAH EUR
5.58%
0.46%
LU0425487740 Schroder ISF EURO Corp Bd A Dis SF
7.32%
0.13%
LU0757360960 Schroder ISF Global Multi-Asset Inc A Dis EUR H QV
7.02%
0.19%
LU0995120242 Schroder ISF EURO Credit Conviction A Dis SF
7.11%
0.31%
LU0957594590 SWC (LU) BF Global Credit Opportunities AAH EUR
5.06%
1.17%
LU1458463236 JPM Global Income Conservative A Div EUR
4.36%
0.04%
GB0002769866 Threadneedle Latin America Ret Net Acc USD
12.66%
4.35%
LU0033050237 UBS (Lux) Bond Fd - EUR Flexible P-acc
6.49%
0.05%
LU0086177085 UBS (Lux) Bond Fd - Euro High Yield (EUR) P-acc
2.93%
0.47%
LU0071006638 UBS (Lux) Bond Fund - Global Flexible (CHF) P-acc
3.32%
0.07%
LU0070848972 UBS (Lux) Bond S - USD High Yield (USD) P-acc
3.55%
0.16%
LU1829334579 Threadneedle (Lux)-European High Yield Bond 1E
4.58%
1.00%
DE000DK2J7R5 Deka-PB ManagerMandat
1.33%
0.31%
LU1254140285 Allianz Best Styles Global AC Equity - P6 - EUR
17.47%
0.13%
LU1254140442 Allianz Best Styles Global AC Equity - PT6 - EUR
17.47%
0.13%
LU1275815410 Allianz Best Styles Global AC Equity - RT - EUR
17.47%
0.13%
LU1254140103 Allianz Best Styles Global AC Equity - A - EUR
17.47%
0.13%
LU1459824303 Allianz Best Styles Global AC Equity - R - EUR
17.47%
0.13%
LU1459824485 Allianz Best Styles Global AC Equity - R - GBP
17.47%
0.13%
LU1546388494 Allianz Best Styles Global AC Equity - PT7 - EUR
17.47%
0.13%
LU1064047712 Allianz Emerg Mkts Short Dur Bd CT H2EUR
4.59%
1.44%
LU1066236941 Allianz Emerg Mkts Short Dur Bd P2 H2EUR
4.59%
1.44%
LU1064047639 Allianz Emerg Mkts Short Dur Bd AM H2EUR
4.59%
1.44%
LU1079477284 Allianz Emerg Mkts Short Dur Bd AT H2EUR
4.59%
1.44%
LU1143268792 Allianz Emerging Markets Select Bond RT (H2-EUR)
2.7%
1.00%
LU1173936748 Allianz Emerging Markets Select Bond R (H2-EUR)
2.7%
1.00%
LU1677193929 Allianz Emerg Mkts Short Dur Bd RT H2EUR
4.59%
1.44%
LU1677194141 Allianz Emerg Mkts Short Dur Bd RT H2USD
4.59%
1.44%
LU1794554391 Allianz Emerging Markets Select Bond - AMg - USD
2.7%
1.00%
LU1794554714 Allianz Emerging Markets Select Bd-AMg(H2-SGD)-SGD
2.7%
1.00%
LU2041105730 Allianz Emerging Markets Select Bond A (H2-EUR)
2.7%
1.00%
LU2041105813 Allianz Emerging Markets Select Bond P (H2-EUR)
2.7%
1.00%
LU0482909818 Allianz Euro High Yield Bond - A - EUR
5.52%
0.38%
LU0482909909 Allianz Euro High Yield Bond - AT - EUR
5.52%
0.38%
LU0551719049 Allianz Euro High Yield Bond - AT (H-PLN) - PLN
5.52%
0.38%
LU0858490690 Allianz Euro High Yield Defensive - AT - EUR
6.62%
0.26%
LU0482910154 Allianz Euro High Yield Bond - P - EUR
5.52%
0.38%
LU0889220934 Allianz Euro High Yield Bond - AM - H2-USD
5.52%
0.38%
LU0889221072 Allianz Euro High Yield Bond - AM- EUR
5.52%
0.38%
LU1173936318 Allianz Euro High Yield Bond - RT - EUR
5.52%
0.38%
LU1173936409 Allianz Euro High Yield Bond - R - EUR
5.52%
0.38%
LU2014481233 Allianz Euro High Yield Bond RT (H2-CHF)
5.52%
0.38%
LU0890505703 Allianz Global Fundamental Strategy D (H2-USD)
16.31%
0.82%
LU0986130309 Allianz Global Fundamental Strategy - CT2 (EUR)
16.31%
0.82%
LU1036042908 Allianz Global Fundamental Strategy D (EUR)
16.31%
0.82%
LU1136180517 Allianz Global Fundamental Strategy - RT2 (H-GBP)
16.31%
0.82%
LU1309437132 Allianz Global Fundamental Strategy - AT2 - EUR
16.31%
0.82%
LU1480269049 Allianz Global Multi-Asset Credit -AT(H2-EUR)EUR
7.05%
2.09%
LU1480268660 Allianz Global Multi-Asset Credit - A (H2-EUR)EUR
7.05%
2.09%
LU1480270054 Allianz Global Multi-Asset Credit - P (H2-EUR)EUR
7.05%
2.09%
LU1480270997 Allianz Global High Yield - A - USD
5.14%
1.45%
LU1480271532 Allianz Global High Yield - AT (H2-EUR)EUR
5.14%
1.45%
LU1480272266 Allianz Global High Yield - P - USD
5.14%
1.45%
LU1480272423 Allianz Global High Yield - P (H2-EUR)EUR
5.14%
1.45%
LU1480276176 Allianz Global Credit - AT (H2-EUR)EUR
11.33%
0.23%
LU1516273585 Allianz Global High Yield - P (H2-GBP)GBP
5.14%
1.45%
LU1527139833 Allianz Global High Yield - P10 (H2-EUR)EUR
5.14%
1.45%
LU1527140096 Allianz Global Credit - P10 (H2-EUR)EUR
11.33%
0.23%
LU1309437488 Allianz Global Fundamental Strategy - AT3 - EUR
16.31%
0.82%
LU1480268744 Allianz Global Multi-Asset Credit - AT - USD
7.05%
2.09%
LU1480270641 Allianz Global Multi-Asset Credit - CT (H2-EUR)
7.05%
2.09%
LU1565691190 Allianz Global Credit - PT - GBP
11.33%
0.23%
LU1565691356 Allianz Global Credit - PT - USD
11.33%
0.23%
LU1568875956 Allianz Global Multi-Asset Credit - AQ (H2-EUR)
7.05%
2.09%
LU1568875873 Allianz Global Multi-Asset Credit - AQ - USD
7.05%
2.09%
LU1597343828 Allianz Global Multi-Asset Credit - C (H2EUR)EUR
7.05%
2.09%
LU1597343745 Allianz Global Multi-Asset Credit - AT (H2-CZK)
7.05%
2.09%
LU1597344396 Allianz Global Multi-Asset Credit - PT (H2-CHF)
7.05%
2.09%
LU1597344479 Allianz Global Multi-Asset Credit - PT - USD
7.05%
2.09%
LU1637808442 Allianz Global High Yield - AMg - USD
5.14%
1.45%
LU1652854925 Allianz Global High Yield - RT (H2-EUR)EUR
5.14%
1.45%
LU1652854842 Allianz Global Multi-Asset Credit - RT (H2-EUR)EUR
7.05%
2.09%
LU1677197086 Allianz Global High Yield - RT - USD
5.14%
1.45%
LU1685827146 Allianz Global Multi-Asset Credit - RT - USD
7.05%
2.09%
LU1723479678 Allianz Global Fundamental Strategy - A - EUR
16.31%
0.82%
LU1723484678 Allianz Global Fundamental Strategy - R - EUR
16.31%
0.82%
LU1677195460 Allianz Global Credit - RT (H2-EUR)EUR
11.33%
0.23%
LU1677195627 Allianz Global Credit - RT - USD
11.33%
0.23%
LU1677196864 Allianz Global Fundamental Strategy - RT - EUR
16.31%
0.82%
LU1740661084 Allianz Global Floating Rate N Plus-A(H2-EUR)-EUR
2.53%
0.52%
LU1740661167 Allianz Global Floating Rate No Pl -AT(H2-EUR)-EUR
2.53%
0.52%
LU1740659690 Allianz Global Floating Rate Notes Plus - AT - USD
2.53%
0.52%
LU1740661597 Allianz Global Floating Rate N Plus-P (H2-EUR)-EUR
2.53%
0.52%
LU1740662058 Allianz Global Floating Rate N Plus-P10(H2-EUR)EUR
2.53%
0.52%
LU1740660607 Allianz Global Floating Rate Notes Plus -P10-USD
2.53%
0.52%
LU1740660862 Allianz Global Floating Rate Notes P-R(H2-EUR)-EUR
2.53%
0.52%
LU1740660946 Allianz Global Floating Rate Note P-RT(H2-EUR)-EUR
2.53%
0.52%
LU1728567725 Allianz Global High Yield - AT (H2-SEK) - SEK
5.14%
1.45%
LU1480268405 Allianz Global Multi-Asset Credit - A - USD
7.05%
2.09%
LU1807156069 Allianz Global Floating Rate Notes Plus - AQ - USD
2.53%
0.52%
LU1807156143 Allianz Global Floating Rate Notes Plus - PQ - USD
2.53%
0.52%
LU1831039380 Allianz Global Multi-Asset Credit - PT(H2-EUR)-EUR
7.05%
2.09%
LU1831039547 Allianz Global Multi-Asset Credit - P (H2-GBP)-GBP
7.05%
2.09%
LU1846563374 Allianz Global Fl Rate Notes Plus-AMg(H2-SGD)-SGD
2.53%
0.52%
LU1846562483 Allianz Global Floating Rate Notes Plus - AMg -USD
2.53%
0.52%
LU1740659344 Allianz Global Floating Rate Notes Plus - RT - USD
2.53%
0.52%
LU1851368339 Allianz Global Floating Rate Notes Plus - AMg -HKD
2.53%
0.52%
LU1851368412 Allianz Global Floating Rate Notes P-AT(H2-SGD)SGD
2.53%
0.52%
LU1851368503 Allianz Global Floating Rate Notes Plus - AT - HKD
2.53%
0.52%
LU1858968388 Allianz Global Multi-Asset Credit-AMg(H2-AUD)-AUD
7.05%
2.09%
LU1858968461 Allianz Global Multi-Asset Credit-AMg(H2-ZAR)-ZAR
7.05%
2.09%
LU1858968206 Allianz Global Mlti-Asset Credit-AMg-USD
7.05%
2.09%
LU1861128491 Allianz Global Floating Rate No Pl-AMg3(H2-SGD)SGD
2.53%
0.52%
LU1859410943 Allianz Global Floating Rate Notes Plus-AMg3-HKD
2.53%
0.52%
LU1859410869 Allianz Global Floating Rate Notes Plus-AMg3-USD
2.53%
0.52%
LU1859410786 Allianz Global Float Rate Notes Plus-AT3(H2CHF)CHF
2.53%
0.52%
LU1859410604 Allianz Global Float Rate Notes Pls-AT3(H2-EUR)EUR
2.53%
0.52%
LU1859410513 Allianz Global Floating Rate Notes Plus - AT3 -USD
2.53%
0.52%
LU1860909420 Allianz Global Floating Rate Notes Plus-RM10-USD
2.53%
0.52%
LU1859410356 Allianz Global Floating Rate Ns Pl-RT10(H2-CHF)CHF
2.53%
0.52%
LU1859410190 Allianz Global Floating Rate Ns Pl-RT10(H2-EUR)EUR
2.53%
0.52%
LU1859410430 Allianz Gl Floating Rate Note Plus-RT10(H2-GBP)GBP
2.53%
0.52%
LU1859409937 Allianz Global Floating Rate Notes Plus-RT10-USD
2.53%
0.52%
LU1873969643 Allianz Global Floating Rate Notes Pl-A3(H2EUR)EUR
2.53%
0.52%
LU1873969726 Allianz Global Floating Rate Notes Plus - A3 - USD
2.53%
0.52%
LU1865151887 Allianz Global Floating Rate Notes Pl-P(H2-GBP)GBP
2.53%
0.52%
LU1890836619 Allianz Global Floating Rate Nts Pl-AMg(H2-AUD)AUD
2.53%
0.52%
LU1914381675 Allianz Global Floating Rate Notes RM10 (H2-SGD)
2.53%
0.52%
LU1914381592 Allianz Global Floating Rate Notes RM10 (HKD)
2.53%
0.52%
LU1931925306 Allianz Global Floating Rate Notes Plus - AM (H2-AUD) - AUD
2.53%
0.52%
LU1931925561 Allianz Global Floating Rate N Plus AM(H2-NZD)NZD
2.53%
0.52%
LU1931925488 Allianz Global Floating Rate Notes Plus-AM-HKD
2.53%
0.52%
LU1934579084 Allianz Global Floating Rate Notes Plus - AM - USD
2.53%
0.52%
LU1931926536 Allianz Global Floating Rate Notes Plus-RT-EUR
2.53%
0.52%
LU1992137684 Allianz Global Floating Rate Notes Pls RT10(H2SEK)
2.53%
0.52%
LU1516273239 Allianz Global Multi-Asset Credit - PT2 (H2-EUR)
7.05%
2.09%
LU1516273155 Allianz Global Multi-Asset Credit PT2 USD
7.05%
2.09%
LU1992137767 Allianz Global Floating Rate Notes PlusAT3(H2-SEK)
2.53%
0.52%
LU1992137254 Allianz Global Floating Rate Notes Pls AT3(H2-DKK)
2.53%
0.52%
LU1992137171 Allianz Global Floating Rate Notes Pl RT10(H2-DKK)
2.53%
0.52%
LU2014481159 Allianz Global Credit RT (H-CHF)
11.33%
0.23%
LU2049825206 Allianz Global High Yield AMg (H2-SGD)
5.14%
1.45%
LU0087342167 Allianz PIMCO High Yield Income Fund - - USD
9.16%
1.98%
LU1480273744 Allianz Selective Global High Yield AT (H2-EUR)
6.85%
1.14%
LU1480273405 Allianz Selective Glbl High Yield - A (H2EUR)
6.85%
1.14%
LU1480274809 Allianz Selective Global High Yield - P (H2EUR)
6.85%
1.14%
LU1527139320 Allianz Selective Global High Yield - P10 (H2-EUR)
6.85%
1.14%
LU1480273231 Allianz Selective Global High Yield - A USD
6.85%
1.14%
LU1480273587 Allianz Selective Global High Yield - AT USD
6.85%
1.14%
LU1641600843 Allianz Selective Global High Yield - AMg - USD
6.85%
1.14%
LU1652855062 Allianz Selective Global High Yield - RT (H2EUR)
6.85%
1.14%
LU1677197912 Allianz Selective Global High Yield - RT - USD
6.85%
1.14%
LU1941709716 Allianz Selective Global High Yield PT9 (H2-EUR)
6.85%
1.14%
LU1941709476 Allianz Selective Global High Yield PT9 (USD)
6.85%
1.14%
LU1941709633 Allianz Selective Global High Yield PT3 (H2-GBP)
6.85%
1.14%
DE0009773010 DWS Emerging Markets Typ O
9.52%
1.00%
DE0008474123 DWS Global Natural Resources Equity Typ O
49.24%
0.51%
LU0616856935 DWS Invest Brazilian Equities LC
6.75%
0.44%
LU0616857313 DWS Invest Brazilian Eq NC
6.75%
0.44%
LU0616857586 DWS Invest Brazilian Eq FC
6.75%
0.44%
LU1573968200 DWS Invest Brazilian Equities IC
6.75%
0.44%
LU1663839865 DWS Invest Brazilian Equities TFC
6.75%
0.44%
LU0210302369 DWS Invest Global Emerging Markets Eq FC
8.49%
1.01%
LU0210302013 DWS Invest Global Emerging Markets Eq LD
8.49%
1.01%
LU0210301635 DWS Invest Global Emerging Markets Eq LC
8.49%
1.01%
LU0273227354 DWS Invest Global Emerging Markets Eq USDFC
8.49%
1.01%
LU0273227784 DWS Invest Global Emerging Markets Eq USDLC
8.49%
1.01%
LU1663922927 DWS Invest Global Emerging Markets Eq TFC
8.49%
1.01%
LU1663925946 DWS Invest Global Emerging Markets Eq TFD
8.49%
1.01%
LU1663931084 DWS Invest Global Emerging Mrkts Eq USD TFC
8.49%
1.01%
LU1865173345 DWS Invest Global Emerging Markets Equities USD LD
8.49%
1.01%
LU1987882872 DWS Invest Brazilian Equities FC50
6.75%
0.44%
LU1876536902 DWS Invest Global Emerging Markets Equities LCH
8.49%
1.01%
LU1876537546 DWS Invest Global Emerging Markets Equities TFCH
8.49%
1.01%
LU2034325691 DWS Invest Braz Eq USD TFC
6.75%
0.44%
LU2037859415 DWS Invest Gl Emerging Markets Equities GBP FD50
8.49%
1.01%
LU2037859506 DWS Invest Gl Emerging Markets Equities USD FD50
8.49%
1.01%
LU0507269834 DWS Invest Emerging Markets Corp LDH
10.45%
2.46%
LU0436052673 DWS Invest Emerging Markets Corp LCH
10.45%
2.46%
LU0507270097 DWS Invest Emerging Markets Corp FCH
10.45%
2.46%
LU0599900635 DWS Emerging Markets Bonds (Short) LC
9.57%
0.86%
LU1054326233 DWS Invest Emerging Markets Corp ND
10.45%
2.46%
LU0616861778 DWS Invest Emerging Markets Corp CHF FCH
10.45%
2.46%
LU1398317302 DWS Select Bonds USD 2020 USD LD
4.2%
2.35%
LU1572390158 DWS Emerging Markets Bonds (Short) FC
9.57%
0.86%
LU1054327041 DWS Invest Emerging Markets Corp NDQH
10.45%
2.46%
LU1623919765 DWS Emerging Markets Bonds (Short) RD
9.57%
0.86%
LU1623919500 DWS Emerging Markets Bonds (Short) RC
9.57%
0.86%
LU1673815459 DWS Emerging Markets Bonds (Short) TFC
9.57%
0.86%
LU1673815889 DWS Emerging Markets Bonds (Short) TFD
9.57%
0.86%
LU0273170653 DWS Invest Emerging Markets Corp USD LD
10.45%
2.46%
LU0273170737 DWS Invest Emerging Markets Corp USD LC
10.45%
2.46%
LU0273179951 DWS Invest Emerging Markets Corp USD FC
10.45%
2.46%
LU0616839501 DWS Invest Euro High Yield Corp LC
3.78%
0.12%
LU0616839766 DWS Invest Euro High Yield Corp LD
3.78%
0.12%
LU0616840772 DWS Invest Euro High Yield Corp FC
3.78%
0.12%
LU0616840186 DWS Invest Euro High Yield Corp NC
3.78%
0.12%
LU0813334322 DWS Invest Euro High Yield Corp FD
3.78%
0.12%
LU0544572273 DWS Invest Emerging Markets Corp USD LDM
10.45%
2.46%
LU0911034782 DWS Invest Emerging Markets Corp SGD LDMH
10.45%
2.46%
LU0616840426 DWS Invest Euro High Yield Corp ND
3.78%
0.12%
LU0911036480 DWS Invest Euro High Yield Corp USD FCH
3.78%
0.12%
LU0911036308 DWS Invest Euro High Yield Corp USD LCH
3.78%
0.12%
LU0616840939 DWS Invest Euro High Yield Corporates USD LDMH
3.78%
0.12%
LU1297621283 DWS Invest Emerging Markets Corp SEK LCH
10.45%
2.46%
LU1322113298 DWS Invest Euro High Yield Corp SEK LCH
3.78%
0.12%
LU1426784200 DWS Invest Euro High Yield Corp CHF FCH
3.78%
0.12%
LU1432415641 DWS Invest Euro High Yield Corp RD
3.78%
0.12%
LU1506496410 DWS Invest Euro High Yield Corp RC
3.78%
0.12%
LU1054331407 DWS Invest Euro High Yield Corp IC
3.78%
0.12%
LU1054332397 DWS Invest Euro High Yield Corp NDQ
3.78%
0.12%
LU1616932510 DWS Invest Emerging Markets Corp USD RC
10.45%
2.46%
LU1663850912 DWS Invest Emerging Markets Corp TFCH
10.45%
2.46%
LU1663853429 DWS Invest Emerging Markets Corp TFDH
10.45%
2.46%
LU1663855044 DWS Invest Emerging Markets Corp USD TFC
10.45%
2.46%
LU1663857685 DWS Invest Emerging Markets Corp USD TFD
10.45%
2.46%
LU1663875406 DWS Invest Euro High Yield Corp TFC
3.78%
0.12%
LU1663877287 DWS Invest Euro High Yield Corp TFD
3.78%
0.12%
LU1663879069 DWS Invest Euro High Yield Corp USD TFCH
3.78%
0.12%
LU1249492031 DWS Invest Multi Credit FCH
8.11%
0.53%
LU1249492114 DWS Invest Multi Credit LDH
8.11%
0.53%
LU1249492387 DWS Invest Multi Credit USD FC
8.11%
0.53%
LU1249492460 DWS Invest Multi Credit USD LD
8.11%
0.53%
LU1717101973 DWS Invest Multi Credit USD XC
8.11%
0.53%
LU1663932645 DWS Invest Multi Credit TFDH
8.11%
0.53%
LU1054327124 DWS Invest Emerging Markets Corp PFCH
10.45%
2.46%
LU1054327397 DWS Invest Emerging Markets Corp PFDQH
10.45%
2.46%
LU1054331589 DWS Invest Euro High Yield Corporates ID
3.78%
0.12%
LU0292109344 Xtrackers MSCI Brazil UCITS ETF 1C
18.18%
5.30%
LU0455009182 Xtrackers MSCI Brazil UCITS ETF 2C
18.18%
5.30%
IE00BGHQ0G80 Xtrackers MSCI AC World UCITS ETF
17.02%
0.05%
IE00BM67HJ62 Xtrackers FTSE All-World ex UK UCITS ETF
16.22%
0.06%
LU0292107645 Xtrackers MSCI Emerging Markets Swap UCITS ETF 1C
9.82%
0.39%
LU0292108619 Xtrackers MSCI EM Latin America Swap UCITS ETF 1C
16.62%
3.24%
IE00BTJRMP35 db x-trackers MSCI Em Mkts Index UCITS ETF (DR)1C
9.81%
0.42%
LU1109942653 db x-trackers II EUR HY Corp Bd UCITS ETF (DR) 1D
5.3%
0.21%
LU1109939865 Xtrackers II EUR HY Corp Bond 1-3 Swp UCITS ETF 1D
16.63%
0.92%
LU1109943388 db x-trackers II EUR HY Corp Bd UCITS ETF (DR) 1C
5.3%
0.21%
LU0321462953 Xtrackers II USD Emerging Markets Bnd UCITS ETF 1C
2.67%
2.08%
LU0677077884 Xtrackers II USD Emerging Markets Bnd UCITS ETF 2D
2.67%
2.08%
LU0575334395 Global Emerging Markets Balance Portfolio ID
3.23%
0.24%
LU0455866771 Global Emerging Markets Balance Portfolio LD
3.23%
0.24%
LU0599947271 DWS Concept Kaldemorgen FC
11.24%
1.18%
LU0599946976 DWS Concept Kaldemorgen LD
11.24%
1.18%
LU0599946893 DWS Concept Kaldemorgen LC
11.24%
1.18%
LU0599947198 DWS Concept Kaldemorgen NC
11.24%
1.18%
LU0688782761 Global Emerging Markets Balance Portfolio IDH USD
3.23%
0.24%
LU0688782688 Global Emerging Markets Balance Portfolio LDH USD
3.23%
0.24%
LU0599947438 DWS Concept Kaldemorgen IC
11.24%
1.18%
LU0599947602 DWS Concept Kaldemorgen USD LCH
11.24%
1.18%
LU0599947784 DWS Concept Kaldemorgen USD FCH
11.24%
1.18%
LU1028182704 DWS Concept Kaldemorgen SC
11.24%
1.18%
LU0982743758 DWS Invest Gl Commodities Blend NC
17.12%
0.18%
LU0982743832 DWS Invest Gl Commodities Blend FC
17.12%
0.18%
LU1205730390 DWS Invest Gl Commodities Blend USD LC
17.12%
0.18%
LU0982743675 DWS Invest Gl Commodities Blend LC
17.12%
0.18%
LU1205724070 DWS Invest Gl Commodities Blend USD FC
17.12%
0.18%
LU1254422691 DWS Concept Kaldemorgen CHF FCH
11.24%
1.18%
LU1254423079 DWS Concept Kaldemorgen SCR
11.24%
1.18%
LU1268496996 DWS Concept Kaldemorgen VC
11.24%
1.18%
LU1303387986 DWS Concept Kaldemorgen CHF SFCH
11.24%
1.18%
LU1303389503 DWS Concept Kaldemorgen SFC
11.24%
1.18%
LU1303389925 Deutsche Concept Kaldemorgen USD SFCH
11.24%
1.18%
LU1422958493 DWS Concept Kaldemorgen GBP CH RD
11.24%
1.18%
LU0599947354 Deutsche Concept Kaldemorgen FD
11.24%
1.18%
LU1606606942 Deutsche Concept Kaldemorgen LD2
11.24%
1.18%
LU1663838461 DWS Concept Kaldemorgen RVC
11.24%
1.18%
LU1663838545 DWS Concept Kaldemorgen TFC
11.24%
1.18%
LU1663838891 DWS Concept Kaldemorgen TFD
11.24%
1.18%
LU1663838974 DWS Concept Kaldemorgen USD TFCH
11.24%
1.18%
LU0703711035 Deka-Nachhaltigkeit Renten CF(A) Oeko-Test, ESG-Eigenlabel
4.74%
0.57%