Informationen zum Unternehmen
Name Target Corporation
ISIN US87612E1064
BRTGTBBDR004
Website https://www.target.com/
Konflikte
Erläuterung Target Corporation (Target) ist ein allgemeiner Warenhändler, der Produkte über seine Geschäfte und digitalen Kanäle verkauft. Die Gemischtwarenläden bieten ein ausgewähltes Lebensmittelsortiment an, das verderbliche Waren, getrockenete Lebensmittel, Milchprodukte und Tiefkühlprodukte umfasst.
Das Unternehmen erzielte beim Corporate Human Rights Benchmark (CHRB) 2018 eine Bewertung von unter 20%. Der CHRB bewertet 101 der größten börsennotierten Unternehmen der Agrar-, Bekleidungs- und Rohstoffbranchen anhand einer Reihe von Menschenrechtsindikatoren (Verpflichtung zur Achtung von UN Leitprinzipien, Einhaltung Mindestlohn, etc.). Die Ergebnisse des CHRB basieren auf öffentlich zugänglichen Informationen und sind ein Indikator für die Einhaltung der Menschenrechte durch Unternehmen. Eine Gesamtbewertung von unter 30% legt nahe, dass ein Unternehmen die wirksame Achtung von Menschenrechten nicht nachweisen kann und somit die UN-Prinzipien für Unternehmen und Menschenrechte nicht ausreichend umgesetzt werden.
Quellen Corporate Human Rights Benchmark 2018
Anzahl laufender Anleihen 44
Anzahl beinhaltender Fonds 317
Fonds, die Aktien oder Anleihen des Unternehmens halten
ISIN des Fonds Name Bemerkung Gesamthöhe kontroverser Unternehmensbeteiligungen Höhe der Beteiligung in Target Corporation
DE0005326532 KCD-Union Nachhaltig AKTIEN MinRisk
7.07%
0.08%
DE000A2DMVE1 KCD-Union Nachhaltig AKTIEN MinRisk I
7.07%
0.08%
LU0064405334 DekaLux-USA TF
15.29%
0.36%
DE0008474669 DekaSpezial CF
18.69%
0.20%
DE000DK1A408 DekaSpezial TF
18.69%
0.20%
DE000DK2CDS0 Deka-DividendenStrategie CF A
25.68%
0.49%
DE000DK2CGN4 Deka-DividendenDiscount CF
19.17%
0.48%
DE000DK2J662 Deka-Multi Asset Income CF A
11.01%
0.11%
DE0009786228 Deka-bAV Fonds
20.95%
0.39%
DE0009774794 LINGOHR-SYSTEMATIC-NVEST
17.74%
0.23%
DE000DK2J670 Deka-Multi Asset Income I A
11.01%
0.11%
DE0008480807 Naspa-Fonds Ausschüttung Plus
10.71%
0.11%
LU0171283459 BGF Global Allocation A2 EUR
10.81%
0.10%
LU0212925753 BGF Global Allocation A2 EUR Hedged
10.81%
0.10%
LU0240613025 BGF Global Allocation A4 EUR Hedged
10.81%
0.10%
LU0408221512 BGF Global Allocation A4 EUR
10.81%
0.10%
LU0784383712 BGF Global Multi-Asset Income A4G EUR Hedged
4.51%
0.05%
LU1040967272 BSF Fixed Income Strat A4 EUR
3.91%
0.00%
LU0133265412 Goldman Sachs US CORE Equity Pf E Acc EUR
14.41%
0.87%
LU0201159711 Goldman Sachs Glo CORE Eq Pf E Acc EUR
15.48%
1.15%
LU0247991580 JPM Global Macro Opportunities A Dis EUR
1.82%
0.43%
LU0917670407 JPM Global Macro A acc EUR Hgd
1.11%
0.26%
LU0917671553 JPM Global Macro A Dis EUR Hgd
1.11%
0.26%
LU0095938881 JPM Global Macro Opportunities A Acc EUR
1.82%
0.43%
LU0112803316 SWC (LU) PF Responsible Balance (CHF) AA
9.27%
0.13%
LU0112806921 SWC (LU) PF Responsible Focus (CHF) AT
12.43%
0.27%
LU0112806418 SWC (LU) PF Responsible Ambition (CHF) AT
10.7%
0.19%
LU0112799969 SWC (LU) PF Responsible Relax (CHF) AA
5.93%
0.04%
LU0112804983 SWC (LU) PF Responsible Balance (EUR) AA
6.52%
0.23%
LU0112800569 SWC (LU) PF Responsible Select (CHF) AA
8.4%
0.05%
LU0112799613 SWC (LU) PF Responsible Ambition (EUR) AT
10.26%
0.17%
LU0112799290 SWC (LU) PF Responsible Select (EUR) AA
6.07%
0.11%
LU0119066131 JPM US Value A Dis USD
18.72%
0.38%
LU0136171393 SWC (LU) PF Sustainable Balanced AA
2%
0.60%
LU0161533970 SWC (LU) PF Responsible Ambition (EUR) AA
10.26%
0.17%
LU0161537534 SWC (LU) PF Responsible Ambition (CHF) AA
10.7%
0.19%
LU0161534861 SWC (LU) PF Responsible Focus (CHF) AA
12.43%
0.27%
LU0288150856 SWC (LU) PF Green Invest Yield (EUR) AA
4.19%
0.43%
LU0644935669 SWC (LU) EF Selection International AT EUR
14.45%
0.71%
LU0757360960 Schroder ISF Global Multi-Asset Inc A Dis EUR H QV
7.02%
0.03%
LU1775789594 SWC (LU) PF Responsible Relax (EUR) AA
7.57%
0.07%
LU1149724954 UBS (Lux) Eq S - US Income (USD)(EURh) P-dis
33.99%
0.47%
DE000ETFL094 Deka MSCI USA LC UCITS ETF
18.08%
0.21%
DE000ETFL268 Deka MSCI USA UCITS ETF
16.18%
0.18%
DE000ETFL508 Deka MSCI World UCITS ETF
17.97%
0.11%
LU0933100637 Allianz Best Styles US Equity AT EUR
16.68%
0.51%
LU0933100983 Allianz Best Styles US Equity AT H2 EUR
16.68%
0.51%
LU1061991912 Allianz Best Styles Global Equity - P - EUR
15.77%
0.54%
LU1075359262 Allianz Best Styles Global Equity - A - EUR
15.77%
0.54%
LU1132059038 Allianz Best Styles US Equity - P2 - USD
16.68%
0.51%
LU1136182133 Allianz Best Styles Global Equity - RT - GBP
15.77%
0.54%
LU1136182216 Allianz Best Styles US Equity - RT - GBP
16.68%
0.51%
LU1157230142 Allianz Best Styles US Equity - A - EUR
16.68%
0.51%
LU1173935260 Allianz Best Styles Global Equity - RT - EUR
15.77%
0.54%
LU1260871014 Allianz Advanced Fixed Inc Global Aggregate A EUR
5.45%
0.13%
LU1254140285 Allianz Best Styles Global AC Equity - P6 - EUR
17.47%
0.27%
LU1254140442 Allianz Best Styles Global AC Equity - PT6 - EUR
17.47%
0.27%
LU1093758610 Allianz Best Styles US Equity - P - EUR
16.68%
0.51%
LU1228143191 Allianz Best Styles US Equity - CT (H-EUR) - EUR
16.68%
0.51%
LU1317421185 Allianz Advanced Fixed Inc Global Aggregate R EUR
5.45%
0.13%
LU1317421268 Allianz Advanced Fixed Inc Global Aggregate RT EUR
5.45%
0.13%
LU1322973477 Allianz Best Styles Global Equity AT (H-EUR)
15.77%
0.54%
LU1349982451 Allianz Advanced Fixed Income Global Agg AT H2-PLN
5.45%
0.13%
LU1349982535 Allianz Best Styles Global Equity - AT (H2-PLN)
15.77%
0.54%
LU1275815410 Allianz Best Styles Global AC Equity - RT - EUR
17.47%
0.27%
LU1377964819 Allianz Best Styles US Equity - RT - EUR
16.68%
0.51%
LU1405890630 Allianz Advanced Fixed Income Global Agg PT H2-CHF
5.45%
0.13%
LU1428085952 Allianz Best Styles US Equity - AT - USD
16.68%
0.51%
LU1254140103 Allianz Best Styles Global AC Equity - A - EUR
17.47%
0.27%
LU1459824303 Allianz Best Styles Global AC Equity - R - EUR
17.47%
0.27%
LU1459824485 Allianz Best Styles Global AC Equity - R - GBP
17.47%
0.27%
LU1400637036 Allianz Best Styles Global Equity CT EUR
15.77%
0.54%
LU1400636905 Allianz Best Styles Global Equity PT EUR
15.77%
0.54%
LU1546388494 Allianz Best Styles Global AC Equity - PT7 - EUR
17.47%
0.27%
LU1543696865 Allianz Best Styles Global Equity - YT(HGBP)
15.77%
0.54%
LU1687709870 Allianz Best Styles US Equity - AT - CZK
16.68%
0.51%
LU1698897839 Allianz Best Styles US Equity - RT - USD
16.68%
0.51%
LU1720050985 Allianz Best Styles Global Equity - RT (H-EUR) - EUR
15.77%
0.54%
LU1730008049 Allianz Best Styles US Equity -CT2- USD
16.68%
0.51%
LU1835930055 Allianz Best Styles Global Equity - PT - USD
15.77%
0.54%
LU1914381329 Allianz Best Styles Global Equity ET (H2-SGD)
15.77%
0.54%
LU1941711290 Allianz Best Styles Global Equit Y14 EUR
15.77%
0.54%
DE0009769638 CONVEST 21 VL - A - EUR
15.06%
0.26%
DE0008471020 Fondis - A - EUR
14.74%
0.25%
DE0008493859 PremiumMandat Konservativ C (EUR)
5.22%
0.15%
LU0268210969 PremiumMandat Dynamik - C - EUR
10.75%
0.37%
LU0268208047 PremiumMandat Balance - C - EUR
8.87%
0.22%
LU0324636652 Allianz Vermoegenskonzept SRI Ausgewogen C EUR
8.49%
0.25%
LU0324635688 Allianz Vermoegenskonzept SRI Defensiv C EUR
5.27%
0.15%
LU0458234829 Allianz Vermoegenskonzept SRI Dynamisch C EUR
11.79%
0.33%
LU0286517833 Allianz Vermoegenskonzept SRI Dynamisch A EUR
11.79%
0.33%
LU0324635332 Allianz Vermoegenskonzept SRI Defensiv A EUR
5.27%
0.15%
LU0324636496 Allianz Vermoegenskonzept SRI Ausgewogen A EUR
8.49%
0.25%
LU1017857340 Allianz Vermoegenskonzept SRI Defensiv P EUR
5.27%
0.15%
LU1017863587 Allianz Vermoegenskonzept SRI Ausgewogen P EUR
8.49%
0.25%
LU1017866762 Allianz Vermoegenskonzept SRI Dynamisch P EUR
11.79%
0.33%
LU1885500964 Allianz Vermgenskonz SRI AusgewogenAvenir 50AT2EUR
8.49%
0.25%
LU1885500881 Allianz Vermgenskonz SRI Defensiv Avenir 30 AT EUR
5.27%
0.15%
LU1019989323 Allianz Dynamic Multi Asset Strategy 50 - A - EUR
9.88%
0.27%
LU1064047555 Allianz Dynamic Multi Asset Strategy 50 - CT - EUR
9.88%
0.27%
LU1093406186 Allianz Dynamic Multi Asset Strategy 50 - AT - EUR
9.88%
0.27%
LU1089088071 Allianz Dynamic Multi Asset Strategy 15 -A- EUR
5.5%
0.09%
LU1211505810 Allianz Dynamic Multi Asset Strategy 50 AT(H2-HUF)
9.88%
0.27%
LU1250163919 Allianz Dynamic Multi Asset Strategy 50 - PT - EUR
9.88%
0.27%
LU1250164131 Allianz Dynamic Multi Asset Strategy 50 PT(H2-CHF)
9.88%
0.27%
LU1250164057 Allianz Dynamic Multi Asset Strategy 50 - PT - USD
9.88%
0.27%
LU1304665919 Allianz Dynamic Multi Asset Strategy 15 CT EUR
5.5%
0.09%
LU1304666057 Allianz Dynamic Multi Asset Strategy 75 CT EUR
10.97%
0.37%
LU1377963175 Allianz Dynamic Multi Asset Strategy 15 - AQ - EUR
5.5%
0.09%
LU1377963258 Allianz Dynamic Multi Asset Strategy 50 - AQ - EUR
9.88%
0.27%
LU1089088311 Allianz Dynamic Multi Asset Strategy 75 - A - EUR
10.97%
0.37%
LU1377963332 Allianz Dynamic Multi Asset Strategy 75 AQ EUR
10.97%
0.37%
LU1363154557 Allianz Dynamic Multi Asset Strategy 15 AT2 H2-CHF
5.5%
0.09%
LU1363154805 Allianz Dynamic Multi Asset Strategy 50 AT2(H2CHF)
9.88%
0.27%
LU1363155018 Allianz Dynamic Multi Asset Strategy 75 AT2 H2-CHF
10.97%
0.37%
LU1462192250 Allianz Dynamic Multi Asset Strategy 15 CT2 EUR
5.5%
0.09%
LU1462192417 Allianz Dynamic Multi Asset Strategy 50 - CT2 EUR
9.88%
0.27%
LU1462192680 Allianz Dynamic Multi Asset Strategy 75 - CT2 -EUR
10.97%
0.37%
LU1537374792 Allianz Dynamic Multi Asset Strategy 50 - P9 EUR
9.88%
0.27%
LU1537376904 Allianz Dynamic Multi Asset Strategy 75 - P9 - EUR
10.97%
0.37%
LU1548496022 Allianz Dynamic Multi Asset Strategy 15 - AT EUR
5.5%
0.09%
LU1575694655 Allianz Dynamic Multi Asset Strategy 75 - P - EUR
10.97%
0.37%
LU1594335520 Allianz Dynamic Multi Asset Strategy 75 - AT - EUR
10.97%
0.37%
LU1652855492 Allianz Dynamic Multi Asset Strategy 15 - RT EUR
5.5%
0.09%
LU1652854685 Allianz Dynamic Multi Asset Strategy 50 - RT - EUR
9.88%
0.27%
LU1652855229 Allianz Dynamic Multi Asset Strategy 75 - RT - EUR
10.97%
0.37%
LU1685828383 Allianz Dynamic Multi Asset Strategy 15 - R - EUR
5.5%
0.09%
LU1685828466 Allianz Dynamic Multi Asset Strategy 50 - R - EUR
9.88%
0.27%
LU1685828540 Allianz Dynamic Multi Asset Strategy 75 - R - EUR
10.97%
0.37%
LU1706852701 Allianz Dynamic Multi Asset Strategy 50 - P - EUR
9.88%
0.27%
LU1867686047 Allianz Dynamic Multi Asset Strat 50-AT(H2-CZK)CZK
9.88%
0.27%
LU1867685825 Allianz Dynamic Multi Asset Strat 50-CT(H2-HUF)HUF
9.88%
0.27%
LU1941711704 Allianz Dynamic Multi Asset Strategy 15 Y14 EUR
5.5%
0.09%
LU1941711886 Allianz Dynamic Multi Asset Strategy 50 Y14 EUR
9.88%
0.27%
LU1941711969 Allianz Dynamic Multi Asset Strategy 75 Y14 EUR
10.97%
0.37%
LU0890505703 Allianz Global Fundamental Strategy D (H2-USD)
16.31%
0.66%
LU0986130309 Allianz Global Fundamental Strategy - CT2 (EUR)
16.31%
0.66%
LU1036042908 Allianz Global Fundamental Strategy D (EUR)
16.31%
0.66%
LU1136180517 Allianz Global Fundamental Strategy - RT2 (H-GBP)
16.31%
0.66%
LU1202788789 Allianz Global Dividend A
23.32%
1.17%
LU1282650743 Allianz Global Dividend AMg USD
23.32%
1.17%
LU1309437132 Allianz Global Fundamental Strategy - AT2 - EUR
16.31%
0.66%
LU1311291493 Allianz Glbl Dynamic Multi Asset Strategy 50 A EUR
6.72%
0.23%
LU1309437488 Allianz Global Fundamental Strategy - AT3 - EUR
16.31%
0.66%
LU1723479678 Allianz Global Fundamental Strategy - A - EUR
16.31%
0.66%
LU1723484678 Allianz Global Fundamental Strategy - R - EUR
16.31%
0.66%
LU1677196864 Allianz Global Fundamental Strategy - RT - EUR
16.31%
0.66%
LU1861127683 Allianz Global Dyn Mlt Asset Str 50-AMg(H2-AUD)AUD
6.72%
0.23%
LU1861127766 Allianz Global Dyn Mlt Asset Str 50-AMg(H2-EUR)EUR
6.72%
0.23%
LU1861127840 Allianz Global Dyn Mlt Asset Str 50-AMg(H2-GBP)GBP
6.72%
0.23%
LU1861127501 Allianz Global Dyn Mlt Asset Str 50-AMg(H2-SGD)SGD
6.72%
0.23%
LU1861127337 Allianz Global Dynamic Multi Asset Str 50-AMg-USD
6.72%
0.23%
LU1865150996 Allianz Global Dynamic Multi Asset Strategy 50-AMg(H2RMB)CNY
6.72%
0.23%
LU0689472784 Allianz Income and Growth - AT - USD
6.83%
0.33%
LU0739342060 Allianz Income and Growth - CT (H2-EUR) - EUR
6.83%
0.33%
LU0766462104 Allianz Income and Growth - A (H2-EUR) - EUR
6.83%
0.33%
LU0820562030 Allianz Income and Growth - AM (H2-AUD) - AUD
6.83%
0.33%
LU0820561818 Allianz Income and Growth - AM - USD
6.83%
0.33%
LU0820561909 Allianz Income and Growth AM HKD D
6.83%
0.33%
LU0820562113 Allianz Income and Growth AM H2-CAD
6.83%
0.33%
LU0820562386 Allianz Income and Growth - AM (H2-GBP) - GBP
6.83%
0.33%
LU0913601281 Allianz Income and Growth - AM (H2-EUR) - EUR
6.83%
0.33%
LU0758899339 Allianz Income and Growth PM H2-GBP D
6.83%
0.33%
LU0820562469 Allianz Income and Growth AM H2-RMB D
6.83%
0.33%
LU0943347566 Allianz Income and Growth AM H2-SGD D
6.83%
0.33%
LU0964807845 Allianz Income and Growth - A - USD
6.83%
0.33%
LU0994605391 Allianz Income and Growth AM (H2-NZD) - NZD
6.83%
0.33%
LU1015032169 Allianz Income and Growth - P - EUR
6.83%
0.33%
LU1046250293 Allianz Income and Growth - P - USD
6.83%
0.33%
LU1050568937 Allianz Income and Growth - P (H2-EUR) - EUR
6.83%
0.33%
LU1056556225 Allianz Income and Growth - PM - USD
6.83%
0.33%
LU1070113664 Allianz Income and Growth - AT (H2-EUR) - EUR
6.83%
0.33%
LU1129901515 Allianz Income and Growth - CM - USD
6.83%
0.33%
LU1136180780 Allianz Income and Growth - RM (H2-GBP) - GBP
6.83%
0.33%
LU1192664248 Allianz Income and Growth - AM (H2-ZAR) - ZAR
6.83%
0.33%
LU1255916394 Allianz Income and Growth - RM (H2-EUR) - EUR
6.83%
0.33%
LU1255915743 Allianz Income and Growth - RM - HKD
6.83%
0.33%
LU1255915826 Allianz Income and Growth - RM - USD
6.83%
0.33%
LU1255915586 Allianz Income and Growth - RT - USD
6.83%
0.33%
LU1291192091 Allianz Income and Growth - RT (H2-EUR)
6.83%
0.33%
LU1255915669 Allianz Income and Growth - RM (H2-AUD) - AUD
6.83%
0.33%
LU1255916477 Allianz Income and Growth - RM (H2-CAD)
6.83%
0.33%
LU1255916121 Allianz Income and Growth RM H2-RMB
6.83%
0.33%
LU1255916048 Allianz Income and Growth RM (H2-SGD)
6.83%
0.33%
LU1551013342 Allianz Income and Growth - AMg2 - USD
6.83%
0.33%
LU1551013425 Allianz Income and Growth - AMg2 (H2-SGD) - SGD
6.83%
0.33%
LU1145028129 Allianz Income and Growth - AQ - USD
6.83%
0.33%
LU1145024482 Allianz Income and Growth - AQ (H2-EUR) - EUR
6.83%
0.33%
LU1269171986 Allianz Income and Growth - PT - USD
6.83%
0.33%
LU1597252433 Allianz Income and Growth - AMg2 (H2AUD)AUD
6.83%
0.33%
LU1597252862 Allianz Income and Growth - AMg2 (H2-CAD)CAD
6.83%
0.33%
LU1597252607 Allianz Income and Growth - AMg2 (H2-GBP)GBP
6.83%
0.33%
LU1597253084 Allianz Income and Growth - AMg2 (H2-RMB)CNY
6.83%
0.33%
LU1627332817 Allianz Income and Growth - CT - USD
6.83%
0.33%
LU1629891620 Allianz Income and Growth - AMg2 - HKD
6.83%
0.33%
LU1861127170 Allianz Income and Growth - AM (H2-JPY) - JPY
6.83%
0.33%
LU1981791087 Allianz Income and Growth - RM (H2-ZAR) - ZAR
6.83%
0.33%
DE0009797258 Allianz Strategiefonds Balance - A - EUR
10.73%
0.26%
DE0009797266 Allianz Strategiefonds Wachstum - A - EUR
13.14%
0.40%
DE0009797274 Allianz Strategiefonds Wachstum Plus - A - EUR
15.14%
0.54%
DE0009797282 Allianz Strategiefonds Stabilitaet - A - EUR
6.14%
0.09%
DE0009797571 Allianz Strategiefonds Balance - PT2 - EUR
10.73%
0.26%
DE0009797621 Allianz Strategiefonds Stabilitaet - A2 - EUR
6.14%
0.09%
DE0009797639 Allianz Strategiefonds Wachstum - A2 - EUR
13.14%
0.40%
DE0009797647 Allianz Strategiefonds Stabilitaet - AT - EUR
6.14%
0.09%
DE0009797662 Allianz Strategiefonds Wachstum Plus - P2 - EUR
15.14%
0.54%
LU1685828037 Allianz Structured Alpha US Equity 250 RT USD
17.43%
0.18%
LU1645745800 Allianz Structured Alpha US Equity 250 P10 USD
17.43%
0.18%
LU1645745982 Allianz Structured Alpha US Equity 250 P10(H2EUR)
17.43%
0.18%
LU1685827815 Allianz Structured Alpha US Equity 250 PT3 USD
17.43%
0.18%
DE000A2DU1H7 Allianz Strategiefonds Balance - R - EUR
10.73%
0.26%
DE000A2DU1J3 Allianz Strategiefonds Stabilitt - R - EUR
6.14%
0.09%
DE000A2DU1K1 Allianz Strategiefonds Wachstum - R - EUR
13.14%
0.40%
LU1865151614 Allianz Structured Alpha US Equity 250AT13(H2-EUR)
17.43%
0.18%
LU1861128657 Allianz Structured Alpha US Equity 250 - AT13 -EUR
17.43%
0.18%
LU2034161641 Allianz Structured Alpha US Equity 250 P24 (USD)
17.43%
0.18%
LU0417517892 Allianz US Equity Dividend - AT - SGD
27.18%
2.09%
LU1109653037 Allianz US Equity Dividend - AM - USD
27.18%
2.09%
LU1302930265 Allianz US Equity Dividend - AMg - USD
27.18%
2.09%
LU1366192091 Allianz US Equity Plus - AM - USD
17.22%
0.97%
LU1865151531 Allianz US Equity Plus - AM (H2-RMB) - CNY
17.22%
0.97%
LU2002383466 Allianz US Equity Dividend - RM - USD
27.18%
2.09%
LU2002383383 Allianz US Equity Dividend - PM - USD
27.18%
2.09%
LU2002383110 Allianz US Equity Dividend - PT - USD
27.18%
2.09%
LU2002383037 Allianz US Equity Dividend - AT - USD
27.18%
2.09%
LU2002383201 Allianz US Equity Dividend - RT - USD
27.18%
2.09%
LU1769943124 DWS Invest CROCI Global Dividends GBP IC
41.9%
2.48%
LU1769943397 DWS Invest CROCI Global Dividends GBP ID
41.9%
2.48%
LU1769943470 DWS Invest CROCI Global Dividends GBP LC
41.9%
2.48%
LU0360863863 ARERO - Der Weltfonds
9.17%
0.04%
LU1466077648 Zurich Global Equity
15.68%
0.18%
LU1769942829 DWS Invest CROCI US Dividends USD LD
26.93%
3.09%
LU1769940708 DWS Invest CROCI World IC
23.93%
1.26%
LU1769940880 DWS Invest CROCI World ID
23.93%
1.26%
LU1769941003 DWS Invest CROCI World LC
23.93%
1.26%
LU1769941185 DWS Invest CROCI World USD IC
23.93%
1.26%
LU1769941268 DWS Invest CROCI World USD LC
23.93%
1.26%
LU1769942407 DWS Invest CROCI US Dividends TFC
26.93%
3.09%
LU1769942589 DWS Invest CROCI US Dividends USD IC
26.93%
3.09%
LU1769942662 DWS Invest CROCI US Dividends USD ID
26.93%
3.09%
LU1769942746 DWS Invest CROCI US Dividends USD LC
26.93%
3.09%
LU1769943553 DWS Invest CROCI Global Dividends IC
41.9%
2.48%
LU1769943041 DWS Invest CROCI Global Dividends GBP TFC
41.9%
2.48%
LU1769943637 DWS Invest CROCI Global Dividends ID
41.9%
2.48%
LU1769943710 DWS Invest CROCI Global Dividends LC
41.9%
2.48%
LU1769943801 DWS Invest CROCI Global Dividends LD
41.9%
2.48%
LU1769943983 DWS Invest CROCI Global Dividends TFC
41.9%
2.48%
LU1769944015 DWS Invest CROCI Global Dividends USD IC
41.9%
2.48%
LU1769944106 DWS Invest CROCI Global Dividends USD LC
41.9%
2.48%
LU1769944288 DWS Invest CROCI Global Dividends USD LDQ
41.9%
2.48%
LU1865033333 DWS Concept Dividend Equity Risk Control ID1
34.71%
2.39%
LU1865033416 DWS Concept Dividend Equity Risk Control ID10
34.71%
2.39%
LU1865033689 DWS Concept Dividend Equity Risk Control ID15
34.71%
2.39%
LU1902608444 DWS Invest CROCI World TFC
23.93%
1.26%
LU1949850454 DWS Invest CROCI US Dividends USD IC50
26.93%
3.09%
LU1978535810 DWS Invest Qi US Equity USD IC
14.34%
0.24%
LU1978536115 DWS Invest Qi US Equity USD RC
14.34%
0.24%
LU0616844766 DWS Invest Multi Strategy FC
6.19%
0.26%
LU1808979337 DWS Invest Multi Strategy XC
6.19%
0.26%
DE0008474198 DWS Balance
5.47%
0.15%
DE0005318406 DWS Stiftungsfonds LD ESG-Eigenlabel
7.78%
0.27%
DE000DWS0RZ8 DWS Dynamik LC
11.4%
0.47%
DE000DWS0W32 DWS Sachwerte
10.84%
0.46%
DE000DWS1UR7 DWS Defensiv LC
3.37%
0.09%
DE000DWS2UB9 DWS Defensiv TFC
3.37%
0.09%
DE000DWS2UC7 DWS Dynamik TFC
11.4%
0.47%
LU0309482544 DWS Vermoegensmandat-Defensiv
3.21%
0.08%
LU0309483435 DWS Vermoegensmandat-Balance
5.82%
0.15%
LU0309483781 DWS Vermoegensmandat-Dynamik
10.93%
0.28%
LU0791195471 DWS Multi Asset Income Kontrolliert
16.05%
0.28%
LU1054320970 DWS Invest Multi Asset Income LD
10.48%
0.18%
LU1054321192 DWS Invest Multi Asset Income ND
10.48%
0.18%
LU1054319964 DWS Invest Multi Asset Defensive LC
5.9%
0.13%
LU1054320038 DWS Invest Multi Asset Defensive LD
5.9%
0.13%
LU1054320111 DWS Invest Multi Asset Defensive NC
5.9%
0.13%
LU1054320897 DWS Invest Multi Asset Income LC
10.48%
0.18%
LU1186218753 DWS Invest Multi Asset Income NC
10.48%
0.18%
LU1186220148 DWS Invest Multi Asset Income FC
10.48%
0.18%
LU1663932561 DWS Invest Multi Asset Income TFD
10.48%
0.18%
LU1769944361 DWS Invest Multi Asset Income LDH (P)
10.48%
0.18%
DE000DWS22Q5 DWS Stiftungsfonds LC
7.78%
0.27%
DE000DWS22P7 DWS Stiftungsfonds TFC
7.78%
0.27%
IE00BGHQ0G80 Xtrackers MSCI AC World UCITS ETF
17.02%
0.13%
IE00BM67HJ62 Xtrackers FTSE All-World ex UK UCITS ETF
16.22%
0.13%
IE00BH361H73 Xtrackers MSCI NAmerica High Div Yield UCITS ETF
28.1%
0.71%
IE00BGQYRR35 Xtrackers MSCI USA Cons Discretionary UCITS ETF 1D
21.5%
1.65%
LU0274208692 Xtrackers MSCI World Swap UCITS ETF 1C
18.2%
0.14%
LU0274210672 Xtrackers MSCI USA Swap UCITS ETF 1C
16.64%
0.21%
LU0455009851 Xtrackers MSCI World Swap UCITS ETF 2C
18.2%
0.14%
IE00BJ0KDR00 Xtrackers MSCI USA UCITS ETF 1C
16.83%
0.21%
IE00BL25JN58 Xtrackers MSCI Wrd Minimum Volatility UCITS ETF 1C
17.69%
0.12%
IE00BM67HP23 Xtrackers MSCI Wrd Cons Discretionary UCITS ETF 1C
28.38%
1.04%
IE00BDB7J586 Xtrackers MSCI USA Minimum Volatility UCITS ETF 1D
21.48%
0.36%
IE00BCHWNQ94 Xtrackers MSCI World High Dividend Yield UCITS ETF
25.72%
0.49%
IE00BG04M077 Xtrackers MSCI USA UCITS ETF 2C-EUR hedged
16.83%
0.21%
IE00BG04LZ52 Xtrackers MSCI USA UCITS ETF 3C-CHF hedged
16.83%
0.21%
LU0322251520 Xtrackers S&P 500 Inverse Daily Swap UCITS ETF 1C
17.48%
0.22%
LU0411078552 Xtrackers S&P 500 2x Lev Daily Swap UCITS ETF 1C
17.89%
0.22%
LU0411078636 Xtrackers S&P 500 2x Inverse Dly Swap UCITS ETF 1C
17.88%
0.22%
LU0490618542 Xtrackers S&P 500 Swap UCITS ETF 1C
17.93%
0.23%
LU0659579733 Xtrackers MSCI World Swap UCITS ETF 4C HEUR
18.2%
0.14%
IE00BLNMYC90 Xtrackers S&P 500 Equal Weight UCITS ETF
14.15%
0.20%
IE00BJ0KDQ92 Xtrackers MSCI World UCITS ETF
18.18%
0.13%
IE00BK1PV551 Xtrackers MSCI World UCITS ETF 1D
18.18%
0.13%
IE00BM67HW99 db x-trackers S&P 500 UCITS ETF(DR)1C EUR Hgd
18.23%
0.22%
IE00BM67HX07 Xtrackers S&P 500 UCITS ETF 2C HGBP
18.23%
0.22%
IE00B8KMSQ34 Xtrackers S&P 500 UCITS ETF 3C HCHF
18.23%
0.22%
IE00BGJWX091 Xtrackers S&P 500 UCITS ETF 1D HEUR
18.23%
0.22%
LU0292096186 Xtrackers Stoxx Global Sel Div 100 Swap UCITS ETF
16.83%
0.89%
IE00BZ036H21 db x-trackers USD Corporate Bond UCITS ETF (DR)1D
13.39%
0.18%
IE00BZ036J45 db x-tr.USD Corporate Bond UCITS ETF(DR)2D EUR Hgd
13.39%
0.18%
DE0009769885 DWS Vorsorge AS (Dynamik)
17.82%
0.35%
DE0009769893 DWS Vorsorge AS (Flex)
17.96%
0.35%
LU0058892943 JSS Sustainable Portfolio - Balanced P EUR dist Oeko-Test
6%
0.60%
LU0208341965 SWC (LU) PF Sustainable Balanced (EUR) AA Oeko-Test
2.23%
0.08%
LU0703711118 Deka-Nachhaltigkeit Balance CF(A) Oeko-Test, ESG-Eigenlabel
4.56%
0.15%
LU0703710904 Deka-Nachhaltigkeit Aktien CF(A) Oeko-Test, ESG-Eigenlabel
6.02%
0.89%