Informationen zum Unternehmen
Name Total S.A.
ISIN FR0000120271
Website https://www.total.de/
Konflikte
Erläuterung Total S.A. ist ein französisches multinationales integriertes Öl- und Gasunternehmen. Das Unternehmen deckt die gesamte Öl- und Gaskette ab, von der Exploration und Produktion von Rohöl und Erdgas über die Stromerzeugung, den Transport, die Raffination, die Vermarktung von Erdölprodukten bis hin zum internationalen Handel mit Rohöl und Produkten. Total ist auch ein großer Chemieproduzent. Total 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. Total war laut der Studie mit über 8,5 GtCO2e für 0,9% der globalen Emissionen verantwortlich und ist damit auf Platz 19 der größten Emittenten weltweit.
Quellen Climate Action 100+ Liste der 100 Fokusunternehmen (Stand: Sep. 2019)
CDP Carbon Majors Report 2017
Anzahl laufender Anleihen 122
Anzahl beinhaltender Fonds 913
Fonds, die Aktien oder Anleihen des Unternehmens halten
ISIN des Fonds Name Bemerkung Gesamthöhe kontroverser Unternehmensbeteiligungen Höhe der Beteiligung in Total S.A.
DE0009757682 GenoAS: 1
13.12%
1.86%
DE0009757872 Uni21. Jahrhundert -net-
18.51%
0.58%
DE0009757740 UniEuroAktien
20.92%
1.05%
LU0047060487 UniEuropa A
19.52%
2.73%
DE0009750232 UniEuropa -net-
19.59%
2.73%
LU0090707612 UniEuroSTOXX 50 A
28.75%
5.67%
LU0096427496 UniEuroSTOXX 50 -net- A
28.75%
5.67%
DE0008491051 UniGlobal
18.24%
0.60%
DE0009750273 UniGlobal -net-
17.82%
0.58%
DE0009757831 UniEuroRenta HighYield
6.51%
0.72%
DE0008491069 UniEuroRenta
1.59%
0.14%
LU0117072461 UniEuroRenta Corporates A
7.06%
1.13%
LU0125236025 UniEuroSTOXX 50 C
28.75%
5.67%
LU0136786182 UniEuroRenta Corporates C
7.06%
1.13%
LU0168092178 UniEuroKapital Corporates A
7.72%
0.19%
LU0168093226 UniEuroKapital Corporates -net- A
7.72%
0.19%
LU0186860408 UniDividendenAss A
21.62%
5.05%
LU0186860663 UniDividendenAss -net- A
21.62%
5.05%
LU0186860234 UniExtra: EuroStoxx 50
32.98%
5.40%
DE000A0M80N0 UniGlobal I
18.24%
0.60%
DE000A0Q2H14 PrivatFonds: Flexibel
5.98%
0.54%
LU0718610743 UniGlobal II A
19.05%
0.63%
DE000A1C81G1 UniGlobal Vorsorge
18.87%
0.61%
LU1390462262 UniAusschuettung net A EUR
16.63%
1.90%
LU1390462189 UniAusschuettung A EUR
16.63%
1.90%
LU1570401114 UniGlobal Dividende A
29.05%
2.21%
LU1570401544 UniGlobal Dividende net- A
29.05%
2.21%
LU1572664461 UniFavorit: Aktien Europa A
17.26%
3.40%
LU1572730783 UniFavorit: Aktien Europa net- A
17.26%
3.40%
LU1910944500 UniGar80:Dynamik
9.06%
2.91%
DE0009757922 Invest Global
18.43%
0.47%
LU0103246616 UniMarktfuehrer -net--A
15%
1.93%
LU0103244595 UniMarktfuehrer A
15%
1.93%
LU0039632921 UniRenta Corporates A
14.27%
0.68%
DE0008491044 UniRak
13.79%
0.06%
LU0101442050 UniSector: BasicIndustries A
30.33%
2.89%
LU0126316180 UniValueFonds: Global -net- A
20.19%
1.96%
LU0126315885 UniValueFonds: Global A
20.19%
1.96%
LU0126315372 UniValueFonds: Europa -net- A
28.53%
4.35%
LU0126314995 UniValueFonds: Europa A
28.53%
4.35%
LU0126316347 UniValueFonds: Global C
20.19%
1.96%
DE0008477035 Global Select Portfolio I
8.46%
0.29%
DE0008477043 Global Select Portfolio II
9.55%
0.23%
DE0005314462 UniRak -net-
13.79%
0.06%
LU1073949312 UniKonzept: Dividenden A
29.87%
2.96%
LU1073949403 UniKonzept: Dividenden -net- A
29.87%
2.96%
LU1572731245 UniRak Nachhaltig Konservativ A ESG-Eigenlabel
2.9%
0.17%
LU1572731591 UniRak Nachhaltig Konservativ -net- A ESG-Eigenlabel
2.9%
0.17%
DE0009750216 LIGA-Pax-Aktien-Union
16.04%
1.72%
DE0008491226 LIGA-Pax-Rent-Union
4.74%
0.32%
DE0008491291 SUEDWESTBANK-Interrent-UNION
2.58%
0.69%
DE0009750554 UniInstitutional European MinRisk Equities
17.28%
0.76%
DE0006352719 UniInstitutional Global Corporate Bonds
17.31%
1.02%
LU0152554803 LIGA-Pax-Cattolico-Union
13.77%
1.92%
LU0199537852 LIGA-Pax-Corporates-Union
5.72%
0.37%
DE0005326599 UniInstitutional Premium Corporate Bonds
22.49%
1.34%
DE000A0Q2HT7 UniInstitutional Euro Corporate Bonds 2021
16.21%
0.78%
DE000A0RPAP8 UniInstitutional Global High Dividend Equities
29.91%
2.34%
DE000A1C81E6 UniInstitutional Premium Corporate Bonds FK
22.49%
1.34%
LU1172417856 LIGA Portfolio Concept
6.8%
1.04%
LU1282970497 UniRenta Corporates I
14.27%
0.68%
DE000A1C81K3 LIGA Multi Asset Income EUR
7.27%
1.38%
LU1573948434 UniInstitutional Corporate Hybrid Bonds A
42.14%
8.98%
LU1573948780 UniInstitutional Corporate Hybrid Bonds net A
42.14%
8.98%
LU1731629959 LIGA Portfolio Concept I
6.8%
1.04%
DE000A2DMVJ0 UniInstitutional Global Corporate Bonds+
17.3%
2.39%
DE000A2N7V14 UniInstitutional Global Corporate Bonds L
17.31%
1.02%
DE0009766865 FVB-Deutscher Aktienfonds
30.31%
0.78%
DE000A0KDYE3 GI Portfolio I
10.56%
0.65%
DE0008474511 AriDeka CF
21.38%
1.17%
DE0009771980 Deka-EuropaBond TF
0.96%
0.16%
LU0107368036 Deka-BasisStrategie Renten CF
10.02%
0.17%
LU0011194601 DekaLux-Bond A
1.65%
0.22%
LU0112241566 Deka-CorporateBond Euro CF
9.15%
1.43%
LU0112250559 Deka-CorporateBond Euro TF
9.15%
1.43%
LU0100187060 Deka-EuropaValue CF
25.76%
1.37%
LU0100186849 Deka-EuropaValue TF
25.76%
1.37%
LU0158528447 Deka-Wandelanleihen CF
13.19%
0.71%
LU0158529254 Deka-Wandelanleihen TF
13.19%
0.71%
DE0005896872 Deka-Euroland Balance CF
9.48%
1.50%
DE000DK0ECU8 Deka-GlobalChampions CF
21.98%
0.81%
DE000DK0ECV6 Deka-GlobalChampions TF
21.98%
0.81%
LU0349172485 DekaLux-GlobalResources CF
67.59%
3.72%
LU0349172725 DekaLux-GlobalResources TF
67.59%
3.72%
DE000DK2D7G4 AriDeka TF
21.38%
1.17%
DE000DK2D7V3 Deka-CorporateBond NonFinancial CF A
11.05%
0.36%
DE000DK1CHH6 Deka-Euroland Balance TF
9.48%
1.50%
DE000DK2CDS0 Deka-DividendenStrategie CF A
25.68%
1.00%
DE000DK2CGD5 Deka-Balance Dynamisch CF
20.13%
0.95%
LU0835594382 Deka-Euroland Aktien LowRisk CF (T)
19.41%
2.16%
LU0835598458 Deka-Europa Aktien Spezial CF (A)
16.96%
0.85%
DE000DK2CGN4 Deka-DividendenDiscount CF
19.17%
1.12%
LU1084635462 Deka-BasisStrategie Renten TF (A)
10.02%
0.17%
DE000DK2EAD4 Deka-StrategieInvest CF
15.7%
0.64%
DE000DK2EAE2 Deka-StrategieInvest TF
15.7%
0.64%
DE000DK2J6T3 Deka-DividendenStrategie Europa CF(A)
23.5%
3.09%
DE000DK2J662 Deka-Multi Asset Income CF A
11.01%
0.78%
LU1508354294 Deka-Multi Asset Ertrag
1.42%
0.10%
DE0008480799 BerolinaRent Deka
8.61%
1.61%
LU0097655574 Deka-EuroStocks CF
17.48%
2.79%
LU0097654924 Deka-EuroStocks TF
17.48%
2.79%
DE0009786202 Deka-PrivatVorsorge AS
16.9%
2.27%
LU0062625115 DekaLux-Europa TF A
30.94%
1.63%
DE0008480674 Deka Aktienfonds RheinEdition P
27.99%
4.80%
DE0009771907 Deka Aktienfonds RheinEdition o.A.
27.99%
4.80%
DE0009774794 LINGOHR-SYSTEMATIC-NVEST
17.74%
0.43%
DE0007019499 Deka-Kommunal Euroland Balance I (A)
8.16%
1.12%
DE0007019416 Deka-Institutionell Renten Europa
1.59%
0.25%
DE0005896864 Deka-Stiftungen Balance
6.59%
0.20%
DE0005320097 LINGOHR-EUROPA-SYSTEMATIC-INVEST
20.85%
1.11%
DE0005319925 PrivatDepot 2 (A)
3.08%
0.09%
DE000A0DNG16 PrivatDepot 3 (A)
4.69%
0.31%
DE000A0DNG24 PrivatDepot 4 (A)
6.87%
0.64%
DE0005320030 Private Banking Premium Ertrag
5.55%
0.47%
DE000A0DNG73 Private Banking Struktur
29.35%
3.79%
DE000A0JKNP9 Keppler-Global Value-INVEST
42.31%
0.93%
DE000DK091G0 Deka-EuropaBond CF
0.96%
0.16%
LU0323234723 Deka-DiscountStrategie 5y
8.43%
4.70%
LU0368601893 Deka-Europa Aktien Spezial I (A)
16.96%
0.85%
DE000DK2CGE3 Deka-Balance Dynamisch I (A)
20.13%
0.95%
DE000DK2D7Z4 Deka-Kommunal Euroland Balance CF (T)
8.16%
1.12%
DE000A1JSHF3 PrivatDepot 2 (B)
3.08%
0.09%
DE000A1JSHG1 PrivatDepot 3 (B)
4.69%
0.31%
DE000A1JSHH9 PrivatDepot 4 (B)
6.87%
0.64%
LU0851806900 Deka-Globale Aktien LowRisk CF (A)
17.2%
0.70%
LU0851807387 Deka-Globale Aktien LowRisk PB (A)
17.2%
0.70%
LU0851807460 Deka-Globale Aktien LowRisk I (A)
17.2%
0.70%
LU1227289516 Deka-Europa Aktien Spezial CF (T)
16.96%
0.85%
DE000DK2J670 Deka-Multi Asset Income I A
11.01%
0.78%
DE000A0JKM98 Rheinischer Kirchenfonds
1.37%
0.19%
DE000DK0EF98 Deka-Dividenden RheinEdition
25.61%
3.26%
LU0093503497 BGF ESG Multi-Asset A2 EUR
5.1%
0.26%
LU0050372472 BGF Euro Bond A2 EUR
2.92%
0.26%
DE0009771956 Naspa-Aktienfonds Global CF
16.67%
1.05%
DE0008480807 Naspa-Fonds Ausschüttung Plus
10.71%
0.79%
LU0072462186 BGF European Value A2 EUR
24.27%
4.75%
LU0171301533 BGF World Energy A2 EUR
64.88%
7.12%
LU0171283459 BGF Global Allocation A2 EUR
10.81%
0.27%
LU0162658883 BGF Euro Corporate Bond A2 EUR
12.13%
0.46%
LU0184696937 BGF World Bond A2 USD
3.73%
0.10%
DE0005896815 DekaFutur-Ertrag
9.14%
0.80%
DE0005896823 DekaFutur-Wachstum
14.52%
2.22%
DE0005896831 DekaFutur-Chance
25.84%
3.44%
DE0005896849 DekaFutur-ChancePlus
32.21%
5.10%
LU0212925753 BGF Global Allocation A2 EUR Hedged
10.81%
0.27%
LU0240613025 BGF Global Allocation A4 EUR Hedged
10.81%
0.27%
LU0408221512 BGF Global Allocation A4 EUR
10.81%
0.27%
DE000DK1CHU9 Mainfranken Wertkonzept ausgewogen
6.57%
0.83%
LU0430265933 BGF Euro Bond A4 EUR
2.92%
0.26%
LU0619515397 BGF European Equity Income A4G EUR
19.71%
1.51%
LU0973708182 BGF Fixed Income Gbl Opportunities A4 EUR Hedged
2.57%
0.00%
LU0784383712 BGF Global Multi-Asset Income A4G EUR Hedged
4.51%
0.05%
DE000DK0LNH7 Naspa-Aktienfds Global TF
16.67%
1.05%
LU0040778739 Deka-BasisStrategie Renten TF
10.02%
0.17%
LU0110060430 Fidelity Funds - European Hi Yld A-EUR-DIS
2.75%
0.02%
LU0170473374 Franklin European Total Return A (acc) EUR
1.71%
0.81%
LU0508319497 Deka-EuropaGarant 80
13.03%
1.14%
LU0727122938 Franklin Global Convertible Secs A (Ydis) EUR
5.81%
1.69%
LU0727123589 Franklin Global Convertible Secs A (Ydis) EUR-H1
5.81%
1.69%
LU1040967272 BSF Fixed Income Strat A4 EUR
3.91%
0.08%
LU1129851157 Fidelity Funds - Gl MA Income A-GDIST-EUR H
5.89%
0.32%
LU1211621138 Deka-EuropaGarant 80 A
13.03%
1.14%
LU1308276598 BSF European Select Strategies A4 EUR
8.85%
0.60%
LU1435395717 BSF Sustainable Euro Bond A4 EUR
2.28%
0.20%
LU1492825564 Fidelity Funds - Flexible Bond A-EUR (EUR/GBP) H
5.09%
0.29%
LU0102219945 Goldman Sachs Europe CORE Equity Pf Base EUR
22.11%
0.65%
LU0011889846 Janus Henderson HF Euroland A2 EUR
11.04%
2.95%
LU0089640097 JPM Euroland Equity A Dis EUR
20.67%
1.55%
LU0107398884 JPM Europe Strategic Value A Dis EUR
27.97%
3.44%
LU0053685029 JPM Europe Equity A Dis EUR
25.01%
0.83%
LU0119062650 JPM Europe Dynamic A Dis EUR
33.2%
1.80%
LU0129412341 JPM Global Convertibles EUR A Dis EUR
12.11%
1.80%
LU0133266576 Goldman Sachs Global Fixed Income Pf E Acc EUR
2.81%
0.04%
LU0138821268 Janus Henderson HF Pan European Equity A2 EUR
23.07%
2.35%
LU0208853514 JPM Global Natural Resources A Dis EUR
52.96%
3.80%
LU0289228842 JPM Europe Equity Plus A (perf) Dis EUR
22.85%
0.29%
LU0289470113 JPM Income Opportunity A (perf) Acc EUR Hgd
1.29%
0.01%
LU0395794307 JPM Global Income A Div EUR
7.1%
0.46%
LU0451950405 Janus Henderson HF Euro Corporate Bond A3 EUR
13.57%
1.63%
LU0430493139 JPM Aggregate Bond A Acc USD
2.7%
0.12%
LU0430493212 JPM Aggregate Bond A Acc EUR Hdg
2.7%
0.12%
LU0840466477 JPM Global Income A Dis EUR
7.1%
0.46%
LU1004473630 JPM Global Strategic Bd A (perf) Dis EUR Hgd
2.73%
0.11%
LU1039371676 JPM Global Bond Opps A Dis EUR Hgd
4.44%
0.18%
LU1182913019 JPM Income Opportunity A (perf) Dis EUR Hgd
1.29%
0.01%
LU1458463152 JPM Global Income Conservative A Dis EUR
4.36%
0.16%
LU0070212591 JPM Global Balanced A Acc EUR
6.63%
0.08%
DE0009786152 Naspa-Europafonds Deka
11.18%
2.07%
LU0106256372 Schroder ISF Global Bond A Acc
2.47%
0.01%
DE0009786111 SK Top Invest Deka
7.81%
1.52%
LU0141247303 SWC (LU) BF AUD AA
3.05%
0.30%
LU0141247725 SWC (LU) BF CAD AA
4.83%
1.30%
LU0141248459 SWC (LU) BF EUR AA
3.59%
0.04%
LU0081697723 SWC (LU) BF International AA
7.16%
0.43%
LU0102843504 SWC (LU) EF Global Energy AT
63.65%
3.00%
LU0102842878 SWC (LU) EF Global Innovation Leaders AT
11.82%
0.89%
LU0112803316 SWC (LU) PF Responsible Balance (CHF) AA
9.27%
0.17%
LU0112806921 SWC (LU) PF Responsible Focus (CHF) AT
12.43%
0.35%
LU0112806418 SWC (LU) PF Responsible Ambition (CHF) AT
10.7%
0.37%
LU0112799969 SWC (LU) PF Responsible Relax (CHF) AA
5.93%
0.11%
LU0112804983 SWC (LU) PF Responsible Balance (EUR) AA
6.52%
0.63%
LU0112800569 SWC (LU) PF Responsible Select (CHF) AA
8.4%
0.07%
LU0079556006 JPM Europe Select Equity A Acc EUR
24.26%
1.89%
LU0112799613 SWC (LU) PF Responsible Ambition (EUR) AT
10.26%
0.92%
LU0112799290 SWC (LU) PF Responsible Select (EUR) AA
6.07%
0.51%
DE0005152789 SK CorporateBond Invest Deka
14.49%
1.18%
LU0161533970 SWC (LU) PF Responsible Ambition (EUR) AA
10.26%
0.92%
LU0161537534 SWC (LU) PF Responsible Ambition (CHF) AA
10.7%
0.37%
LU0161534861 SWC (LU) PF Responsible Focus (CHF) AA
12.43%
0.35%
LU0210530662 JPM Europe Dynamic A Acc EUR
33.2%
1.80%
LU0247991317 JPM Global Balanced A Dis EUR
6.63%
0.08%
LU0256331488 Schroder ISF Global Energy A Acc
30.89%
1.03%
LU0352097439 Schroder ISF Glo Conv Bd A Acc EUR Hdg
7.25%
1.14%
LU0408847340 JPM Euro Corporate Bond A Acc EUR
16.34%
2.26%
LU0494188096 SWC (LU) BF Global Corporate ATH EUR
10.12%
0.34%
LU0757360960 Schroder ISF Global Multi-Asset Inc A Dis EUR H QV
7.02%
0.18%
LU0957039414 JPM Global Balanced A Acc USD Hgd
6.63%
0.08%
LU1458463236 JPM Global Income Conservative A Div EUR
4.36%
0.16%
LU1775789594 SWC (LU) PF Responsible Relax (EUR) AA
7.57%
0.31%
LU0093666013 Templeton Euroland A (acc) EUR
17.9%
2.94%
LU0029864427 Templeton Global A (Ydis) USD
20.07%
1.65%
GB0002771052 Threadneedle European Retail Net Acc EUR
19.7%
3.80%
DE0009752519 UBS (D) Rent-International
8.38%
0.83%
LU0010001369 UBS (Lux) Bond Fund - CHF P-acc
7%
0.86%
LU0033050237 UBS (Lux) Bond Fd - EUR Flexible P-acc
6.49%
0.06%
LU0071006638 UBS (Lux) Bond Fund - Global Flexible (CHF) P-acc
3.32%
0.07%
LU0035346773 UBS (Lux) Bond Fund - USD P-acc
9.61%
0.65%
LU0074904888 UBS (Lux) Medium Term Bond Fd - GBP P-acc
3.4%
0.79%
LU0057957531 UBS (Lux) Medium Term Bond Fd - USD P-acc
6.59%
1.05%
LU0128525689 Templeton Global Balanced A (acc) USD
11.07%
0.64%
LU0128525929 Templeton Global A (acc) USD
20.07%
1.65%
LU0151774626 UBS (Lux) Bond S - Short Term EUR Corp (EUR) P-a
18.17%
2.48%
LU0162626096 UBS (Lux) Bond S - EUR Corporates (EUR) P-acc
19.85%
2.04%
LU0224520709 UBS (Lux) SICAV 2 - Medium Term Bonds (GBP) P-acc
3.27%
0.82%
LU0229941660 Templeton Euroland A (Ydis) EUR
17.9%
2.94%
LU0723564463 UBS (Lux) Eq S - European Opp Unconstr (EUR) P-acc
21.04%
2.30%
LU1121265380 UBS (Lux) Eq Sicav Euro Countr Inc (EUR) P dis
12.03%
2.59%
LU1832003567 Threadneedle (Lux)-Pan European Equities 1E
18.9%
2.29%
DE000ETFL029 Deka EURO STOXX 50® UCITS ETF
33.52%
4.97%
DE000ETFL078 Deka EURO STOXX® Select Dividend 30 UCITS ETF
9.99%
2.72%
DE000ETFL086 Deka MSCI Europe LC UCITS ETF
32.83%
1.88%
DE000ETFL250 Deka STOXX Europe 50® UCITS ETF
34.81%
3.25%
DE000ETFL284 Deka MSCI Europe UCITS ETF
26.53%
1.49%
DE000ETFL466 Deka EURO STOXX 50 (thesaurierend) UCITS ETF
33.56%
4.98%
DE000ETFL482 Deka EURO iSTOXX ex Fin Dividend+ UCITS ETF
25.5%
1.94%
DE000ETFL508 Deka MSCI World UCITS ETF
17.97%
0.32%
DE000DK2CE40 Mainfranken Strategiekonzept
12.16%
0.70%
AT0000961073 Klassik Nachhaltigkeit Solide (R) T FNG-Siegelfonds
3.17%
0.90%
AT0000961065 Klassik Nachhaltigkeit Solide (R) A FNG-Siegelfonds
3.17%
0.90%
AT0000961081 Klassik Nachhaltigkeit Mix (R) A FNG-Siegelfonds
2.87%
0.34%
AT0000961099 Klassik Nachhaltigkeit Mix (R) T FNG-Siegelfonds
2.87%
0.34%
AT0000785381 Raiffeisen-Nachhaltigkeit-Mix R VTA FNG-Siegelfonds
2.1%
0.12%
AT0000805361 Raiffeisen-Nachhaltigkeit-Mix R T FNG-Siegelfonds
2.1%
0.12%
DE000A0B7JB7 BfS Nachhaltigkeitsfonds Ertrag FNG-Siegelfonds
4.69%
2.39%
AT0000A01G95 ERSTE RESPONSIBLE BOND A FNG-Siegelfonds
3.18%
1.01%
AT0000A01GL7 ERSTE RESPONSIBLE STOCK GLOBAL A FNG-Siegelfonds
13.02%
0.68%
AT0000A03951 ERSTE RESPONSIBLE RESERVE A FNG-Siegelfonds
2.13%
0.75%
AT0000A03969 ERSTE RESPONSIBLE RESERVE T FNG-Siegelfonds
2.13%
0.75%
LU0300981452 UniInstitutional IMMUNO Nachhaltigkeit FNG-Siegelfonds
1.92%
0.72%
AT0000A0FSN4 ERSTE RESPONSIBLE STOCK GLOBAL VA FNG-Siegelfonds
13.02%
0.68%
AT0000A0PHH8 ERSTE RESPONSIBLE BOND EURO-CORPORATE A FNG-Siegelfonds
5.32%
0.71%
AT0000A0PHK2 ERSTE RESPONSIBLE BOND EURO-CORPORATE VA FNG-Siegelfonds
5.32%
0.71%
DE000DWS08X0 Bethmann Nachhaltigkeit FNG-Siegelfonds
5.48%
0.70%
AT0000A0WLX3 ERSTE RESPONSIBLE RESERVE V FNG-Siegelfonds
2.13%
0.75%
AT0000A0WLW5 ERSTE RESPONSIBLE BOND V FNG-Siegelfonds
3.18%
1.01%
AT0000A0WM11 ERSTE RESPONSIBLE STOCK EUROPE V FNG-Siegelfonds
13.2%
1.44%
DE000A1WY1N9 Steyler Fair und Nachhaltig Renten R FNG-Siegelfonds
4.9%
1.81%
DE000A1WY1P4 Steyler Fair und Nachhaltig Renten I FNG-Siegelfonds
4.9%
1.81%
AT0000A1E0V5 ERSTE RESPONSIBLE STOCK EUROPE A FNG-Siegelfonds
13.2%
1.44%
AT0000A1DU47 Raiffeisen-Nachhaltigkeit-Solide (R) T FNG-Siegelfonds
2.35%
0.26%
AT0000A1DU62 Raiffeisen-Nachhaltigkeit-Solide (I) T FNG-Siegelfonds
2.35%
0.26%
AT0000A1DU70 Raiffeisen-Nachhaltigkeit-Solide (I) A FNG-Siegelfonds
2.35%
0.26%
AT0000A1DU54 Raiffeisen-Nachhaltigkeit-Solide (R) A FNG-Siegelfonds
2.35%
0.26%
LU1256228872 Commerzbank Globale Aktien - Katholische Werte R FNG-Siegelfonds
15.15%
2.65%
LU1256228799 Commerzbank Globale Aktien - Katholische Werte I FNG-Siegelfonds
15.15%
2.65%
AT0000A1G2L0 Raiffeisen-Nachhaltigkeit-Mix I A FNG-Siegelfonds
2.1%
0.12%
AT0000A1TMK2 Raiffeisen-Nachhaltigkeit-Solide (RZ) T FNG-Siegelfonds
2.35%
0.26%
AT0000A1TML0 Raiffeisen-Nachhaltigkeit-Solide (RZ) A FNG-Siegelfonds
2.35%
0.26%
AT0000A1TRS4 Klassik Nachhaltigkeit Solide (RZ) T FNG-Siegelfonds
3.17%
0.90%
AT0000A1TRT2 Klassik Nachhaltigkeit Solide (RZ) A FNG-Siegelfonds
3.17%
0.90%
AT0000A1TRU0 Klassik Nachhaltigkeit Mix (RZ) T FNG-Siegelfonds
2.87%
0.34%
AT0000A1TRV8 Klassik Nachhaltigkeit Mix (RZ) A FNG-Siegelfonds
2.87%
0.34%
DE000A2AR3U4 UniInstitutional Dividend Sustainable FNG-Siegelfonds
8.46%
2.92%
AT0000A1TWK1 Raiffeisen-Nachhaltigkeit-Mix RZ A FNG-Siegelfonds
2.1%
0.12%
AT0000A1TWL9 Raiffeisen-Nachhaltigkeit-Mix RZ VTA FNG-Siegelfonds
2.1%
0.12%
AT0000A1TWJ3 Raiffeisen-Nachhaltigkeit-Mix RZ T FNG-Siegelfonds
2.1%
0.12%
AT0000A1VG68 Raiffeisen-Nachhaltigkeit-Mix I VTA FNG-Siegelfonds
2.1%
0.12%
AT0000A1VP59 Raiffeisen-Nachhaltigkeit-Solide (R) VTA FNG-Siegelfonds
2.35%
0.26%
AT0000A1VP42 Raiffeisen-Nachhaltigkeit-Solide (S) A FNG-Siegelfonds
2.35%
0.26%
AT0000A1YC10 Raiffeisen-Nachhaltigkeit-Solide (RZ) (VA) FNG-Siegelfonds
2.35%
0.26%
AT0000A20F02 Raiffeisen-Nachhaltigkeit-Solide (I) VTA FNG-Siegelfonds
2.35%
0.26%
LU0178439310 Allianz Best Styles Euroland Equity - AT - EUR
22.24%
2.36%
LU0178439666 Allianz Best Styles Euroland Equity - CT - EUR
22.24%
2.36%
LU0178439401 Allianz Best Styles Euroland Equity - A - EUR
22.24%
2.36%
LU0856992614 Allianz Adv Fix Inc Sh Dur A EUR
7.55%
1.13%
LU1061991912 Allianz Best Styles Global Equity - P - EUR
15.77%
0.44%
LU1069922828 Allianz Adv Fix Inc Sh Dur Euro Res Plus P+G A2EUR
7.55%
1.13%
LU1069922661 Allianz Adv Fix Inc Sh Dur Euro Res Plus WM P EUR
7.55%
1.13%
LU1075359262 Allianz Best Styles Global Equity - A - EUR
15.77%
0.44%
LU1019963369 Allianz Best Styles Europe Equity - AT - EUR
27.33%
1.82%
LU1136182133 Allianz Best Styles Global Equity - RT - GBP
15.77%
0.44%
LU1173935260 Allianz Best Styles Global Equity - RT - EUR
15.77%
0.44%
LU0706717351 Allianz Advanced Fixed Income Euro - A - EUR
6.17%
0.76%
LU1260871014 Allianz Advanced Fixed Inc Global Aggregate A EUR
5.45%
0.16%
LU1254140285 Allianz Best Styles Global AC Equity - P6 - EUR
17.47%
0.43%
LU1254140442 Allianz Best Styles Global AC Equity - PT6 - EUR
17.47%
0.43%
LU1272325553 Allianz Adv Fix Inc Sh Dur P EUR
7.55%
1.13%
LU1317421185 Allianz Advanced Fixed Inc Global Aggregate R EUR
5.45%
0.16%
LU1317421268 Allianz Advanced Fixed Inc Global Aggregate RT EUR
5.45%
0.16%
LU1322973477 Allianz Best Styles Global Equity AT (H-EUR)
15.77%
0.44%
LU1349982451 Allianz Advanced Fixed Income Global Agg AT H2-PLN
5.45%
0.16%
LU1349982535 Allianz Best Styles Global Equity - AT (H2-PLN)
15.77%
0.44%
LU1275815410 Allianz Best Styles Global AC Equity - RT - EUR
17.47%
0.43%
LU1405890630 Allianz Advanced Fixed Income Global Agg PT H2-CHF
5.45%
0.16%
LU1254140103 Allianz Best Styles Global AC Equity - A - EUR
17.47%
0.43%
LU1459824303 Allianz Best Styles Global AC Equity - R - EUR
17.47%
0.43%
LU1459824485 Allianz Best Styles Global AC Equity - R - GBP
17.47%
0.43%
LU1400637036 Allianz Best Styles Global Equity CT EUR
15.77%
0.44%
LU1400636905 Allianz Best Styles Global Equity PT EUR
15.77%
0.44%
LU1459823677 Allianz Advanced Fixed Income Euro- CT EUR
6.17%
0.76%
LU1205638155 Allianz Advanced Fixed Income Euro - AT EUR
6.17%
0.76%
LU1504571149 Allianz Adv Fix Inc Sh Dur AT EUR
7.55%
1.13%
LU1546388494 Allianz Best Styles Global AC Equity - PT7 - EUR
17.47%
0.43%
LU1543696865 Allianz Best Styles Global Equity - YT(HGBP)
15.77%
0.44%
LU1322973121 Allianz Advanced Fixed Income Euro - RT - EUR
6.17%
0.76%
LU1677193176 Allianz Adv Fix Inc Sh Dur RT EUR
7.55%
1.13%
LU1677193333 Allianz Best Styles Euroland Equity - RT - EUR
22.24%
2.36%
LU1706852370 Allianz Advanced Fixed Income Euro - P - EUR
6.17%
0.76%
LU1720050985 Allianz Best Styles Global Equity - RT (H-EUR) - EUR
15.77%
0.44%
LU1706852883 Allianz Best Styles Europe Equity RT EUR
27.33%
1.82%
LU1740663296 Allianz Advanced Fixed Income Short Duration R EUR
7.55%
1.13%
LU1728568962 Allianz Best Styles Euroland Eq Risk Ctrl-RT(EUR)
31.64%
4.76%
LU1752424900 Allianz Best Styles Europe Equity P (EUR)
27.33%
1.82%
LU1835930055 Allianz Best Styles Global Equity - PT - USD
15.77%
0.44%
LU1914381329 Allianz Best Styles Global Equity ET (H2-SGD)
15.77%
0.44%
LU1941711530 Allianz Advanced Fixed Income Euro-Y14-EUR
6.17%
0.76%
LU1941711613 Allianz Advanced Fixed Income Short Durat Y14 EUR
7.55%
1.13%
LU1941711290 Allianz Best Styles Global Equit Y14 EUR
15.77%
0.44%
LU2012948357 Allianz Adv Fixed Income Short Duration RT10 (EUR)
7.55%
1.13%
LU2010168941 Allianz Advanced Fixed Income Euro RT (H2-CHF)
6.17%
0.76%
LU2016121795 Allianz Advanced Fixed Income Short Durat R10(EUR)
7.55%
1.13%
LU2010169089 Allianz Adv Fix Income Short Duration RT (H2-CHF)
7.55%
1.13%
DE0005316285 Allianz Corps-Corent - P - EUR
14.41%
2.17%
LU0706716205 Allianz Convertible Bond - A - EUR
26.41%
3.70%
LU0706716387 Allianz Convertible Bond - AT - EUR
26.41%
3.70%
LU0972998891 Allianz Convertible Bond - PT - EUR
26.41%
3.70%
LU1304665752 Allianz Convertible Bond - CT - EUR
26.41%
3.70%
LU1377965030 Allianz Convertible Bond - RT - EUR
26.41%
3.70%
LU1610656172 Allianz Convertible Bond - P2 - EUR
26.41%
3.70%
LU1706852297 Allianz Convertible Bond - P - EUR
26.41%
3.70%
LU1896600902 Allianz Credit Opportunities - P7 - EUR
11.65%
0.02%
LU1951921383 Allianz Credit Opportunities - AT - EUR
11.65%
0.02%
LU1953144380 Allianz Credit Opportunities - RT (H2-CHF) - CHF
11.65%
0.02%
LU1953144034 Allianz Credit Opportunities - A - EUR
11.65%
0.02%
LU1953144117 Allianz Credit Opportunities - R - EUR
11.65%
0.02%
LU1953144208 Allianz Credit Opportunities - RT - EUR
11.65%
0.02%
LU2014481407 Allianz Convertible Bond RT (H2-CHF)
26.41%
3.70%
DE0009769638 CONVEST 21 VL - A - EUR
15.06%
0.27%
DE0008471020 Fondis - A - EUR
14.74%
0.29%
DE0008475021 Industria - A - EUR
13.64%
2.76%
DE0008471228 NUERNBERGER Euroland A - - EUR
17.96%
4.40%
DE0008493859 PremiumMandat Konservativ C (EUR)
5.22%
0.13%
LU0316909273 Flexible Portfolio
17.78%
2.22%
LU0268209441 PremiumMandat Defensiv - C - EUR
4.49%
0.27%
LU0268210969 PremiumMandat Dynamik - C - EUR
10.75%
0.31%
LU0268208047 PremiumMandat Balance - C - EUR
8.87%
0.31%
LU0322926154 VermoegensManagement Einkommen Europa - A - EUR
2.34%
0.42%
LU0324636652 Allianz Vermoegenskonzept SRI Ausgewogen C EUR
8.49%
0.73%
LU0324635688 Allianz Vermoegenskonzept SRI Defensiv C EUR
5.27%
0.45%
LU0458234829 Allianz Vermoegenskonzept SRI Dynamisch C EUR
11.79%
1.00%
DE0009797423 Industria - P - EUR
13.64%
2.76%
LU0286517833 Allianz Vermoegenskonzept SRI Dynamisch A EUR
11.79%
1.00%
LU0324635332 Allianz Vermoegenskonzept SRI Defensiv A EUR
5.27%
0.45%
LU0324636496 Allianz Vermoegenskonzept SRI Ausgewogen A EUR
8.49%
0.73%
LU1017857340 Allianz Vermoegenskonzept SRI Defensiv P EUR
5.27%
0.45%
LU1017863587 Allianz Vermoegenskonzept SRI Ausgewogen P EUR
8.49%
0.73%
LU1017866762 Allianz Vermoegenskonzept SRI Dynamisch P EUR
11.79%
1.00%
LU1103691660 SK Europa - A - EUR
13.95%
2.10%
LU1103691744 SK Europa - P - EUR
13.95%
2.10%
LU1103691827 SK Themen - A - EUR
12.32%
1.72%
LU1103692049 SK Themen - P - EUR
12.32%
1.72%
LU1103691405 SK Welt - A - EUR
13%
1.05%
LU1103691587 SK Welt - P - EUR
13%
1.05%
LU1885500964 Allianz Vermgenskonz SRI AusgewogenAvenir 50AT2EUR
8.49%
0.73%
LU1885500881 Allianz Vermgenskonz SRI Defensiv Avenir 30 AT EUR
5.27%
0.45%
LU0165915058 Allianz Euro Bond - AT - EUR
2.59%
0.19%
LU0165915215 Allianz Euro Bond - A - EUR
2.59%
0.19%
LU0165915488 Allianz Euro Bond - CT - EUR
2.59%
0.19%
LU0484424121 Allianz Euro Bond Strategy - C - EUR
2%
0.20%
LU0484424394 Allianz Euro Bond Strategy - CT - EUR
2%
0.20%
LU1019989323 Allianz Dynamic Multi Asset Strategy 50 - A - EUR
9.88%
0.48%
LU1064047555 Allianz Dynamic Multi Asset Strategy 50 - CT - EUR
9.88%
0.48%
LU1093406186 Allianz Dynamic Multi Asset Strategy 50 - AT - EUR
9.88%
0.48%
LU1089088071 Allianz Dynamic Multi Asset Strategy 15 -A- EUR
5.5%
0.14%
LU1149865690 Allianz Euro Credit SRI - R - EUR ESG-Eigenlabel
6.46%
1.29%
LU1149865930 Allianz Euro Credit SRI - A - EUR ESG-Eigenlabel
6.46%
1.29%
LU1145633407 Allianz Euro Credit SRI - AT - EUR ESG-Eigenlabel
6.46%
1.29%
LU1211505810 Allianz Dynamic Multi Asset Strategy 50 AT(H2-HUF)
9.88%
0.48%
LU1173936078 Allianz Euro Credit SRI - RT - EUR ESG-Eigenlabel
6.46%
1.29%
LU1250163919 Allianz Dynamic Multi Asset Strategy 50 - PT - EUR
9.88%
0.48%
LU1250164131 Allianz Dynamic Multi Asset Strategy 50 PT(H2-CHF)
9.88%
0.48%
LU1250164057 Allianz Dynamic Multi Asset Strategy 50 - PT - USD
9.88%
0.48%
LU1250164214 Allianz Euro Bond - AQ - EUR
2.59%
0.19%
LU1231155380 Allianz Euro Bond - P - EUR
2.59%
0.19%
LU1304665919 Allianz Dynamic Multi Asset Strategy 15 CT EUR
5.5%
0.14%
LU1304666057 Allianz Dynamic Multi Asset Strategy 75 CT EUR
10.97%
0.30%
LU1377963175 Allianz Dynamic Multi Asset Strategy 15 - AQ - EUR
5.5%
0.14%
LU1377963258 Allianz Dynamic Multi Asset Strategy 50 - AQ - EUR
9.88%
0.48%
LU1089088311 Allianz Dynamic Multi Asset Strategy 75 - A - EUR
10.97%
0.30%
LU1377963332 Allianz Dynamic Multi Asset Strategy 75 AQ EUR
10.97%
0.30%
LU1311291063 Allianz Euro Bond Strategy - AT2 - EUR
2%
0.20%
LU1311291147 Allianz Euro Bond Strategy - PT - EUR
2%
0.20%
LU1363154557 Allianz Dynamic Multi Asset Strategy 15 AT2 H2-CHF
5.5%
0.14%
LU1363154805 Allianz Dynamic Multi Asset Strategy 50 AT2(H2CHF)
9.88%
0.48%
LU1363155018 Allianz Dynamic Multi Asset Strategy 75 AT2 H2-CHF
10.97%
0.30%
LU1328248510 Allianz Euro Credit SRI -CT-EUR ESG-Eigenlabel
6.46%
1.29%
LU1331159357 Allianz Euro Credit SRI -PT-EUR ESG-Eigenlabel
6.46%
1.29%
LU1462192250 Allianz Dynamic Multi Asset Strategy 15 CT2 EUR
5.5%
0.14%
LU1462192417 Allianz Dynamic Multi Asset Strategy 50 - CT2 EUR
9.88%
0.48%
LU1462192680 Allianz Dynamic Multi Asset Strategy 75 - CT2 -EUR
10.97%
0.30%
LU1537374792 Allianz Dynamic Multi Asset Strategy 50 - P9 EUR
9.88%
0.48%
LU1537376904 Allianz Dynamic Multi Asset Strategy 75 - P9 - EUR
10.97%
0.30%
LU1548496022 Allianz Dynamic Multi Asset Strategy 15 - AT EUR
5.5%
0.14%
LU1575694655 Allianz Dynamic Multi Asset Strategy 75 - P - EUR
10.97%
0.30%
LU1594335520 Allianz Dynamic Multi Asset Strategy 75 - AT - EUR
10.97%
0.30%
LU1652855492 Allianz Dynamic Multi Asset Strategy 15 - RT EUR
5.5%
0.14%
LU1652854685 Allianz Dynamic Multi Asset Strategy 50 - RT - EUR
9.88%
0.48%
LU1652855229 Allianz Dynamic Multi Asset Strategy 75 - RT - EUR
10.97%
0.30%
LU1685828383 Allianz Dynamic Multi Asset Strategy 15 - R - EUR
5.5%
0.14%
LU1685828466 Allianz Dynamic Multi Asset Strategy 50 - R - EUR
9.88%
0.48%
LU1685828540 Allianz Dynamic Multi Asset Strategy 75 - R - EUR
10.97%
0.30%
LU1687709102 Allianz Euro Bond - RT - EUR
2.59%
0.19%
LU1698898217 Allianz Euro Bond Strategy - RT - EUR
2%
0.20%
LU1706852453 Allianz Euro Credit SRI - P - EUR ESG-Eigenlabel
6.46%
1.29%
LU1706852701 Allianz Dynamic Multi Asset Strategy 50 - P - EUR
9.88%
0.48%
LU1851368099 Allianz Euro Credit SRI - R2 - EUR ESG-Eigenlabel
6.46%
1.29%
LU1851368172 Allianz Euro Credit SRI-RT2-EUR ESG-Eigenlabel
6.46%
1.29%
LU1867686047 Allianz Dynamic Multi Asset Strat 50-AT(H2-CZK)CZK
9.88%
0.48%
LU1867685825 Allianz Dynamic Multi Asset Strat 50-CT(H2-HUF)HUF
9.88%
0.48%
LU1941711704 Allianz Dynamic Multi Asset Strategy 15 Y14 EUR
5.5%
0.14%
LU1941711886 Allianz Dynamic Multi Asset Strategy 50 Y14 EUR
9.88%
0.48%
LU1941711969 Allianz Dynamic Multi Asset Strategy 75 Y14 EUR
10.97%
0.30%
LU2002383540 Allianz Euro Credit SRI - P2 - EUR ESG-Eigenlabel
6.46%
1.29%
LU2002383623 Allianz Euro Credit SRI - PT2 - EUR ESG-Eigenlabel
6.46%
1.29%
LU2014481076 Allianz Euro Credit SRI RT (H2-CHF) ESG-Eigenlabel
6.46%
1.29%
LU2010168867 Allianz Euro Bond Strategy RT (H2-CHF)
2%
0.20%
DE0009769679 Allianz EuropaVision - A - EUR
28.44%
4.09%
LU1202635105 Allianz Europe Income and Growth AM (H2-USD) USD
19.58%
1.89%
LU1221075150 Allianz Europe Income and Growth - AM - EUR
19.58%
1.89%
LU0706716890 Allianz Euro Investment Grade Bond Strategy A EUR
10.04%
1.86%
LU0542502314 Allianz Europe Equity SRI - AT - EUR
17.67%
3.08%
LU1306617181 Allianz Europe Equity SRI - CT2 - EUR
17.67%
3.08%
LU1400636731 Allianz Europe Income and Growth - AMg (H2-AUD)
19.58%
1.89%
LU1400636574 Allianz Europe Income and Growth - AMg (H2-HKD)
19.58%
1.89%
LU1400636657 Allianz Europe Income and Growth - AMg (H2-SGD)
19.58%
1.89%
LU1400636491 Allianz Europe Income and Growth - AMg (H2-USD)
19.58%
1.89%
LU1400636814 Allianz Europe Income and Growth - AMg - EUR
19.58%
1.89%
LU1518687030 Allianz Euro Invest Grade Bond Strategy - S EUR
10.04%
1.86%
LU1543696436 Allianz Europe Equity Value - P - EUR
22.19%
3.31%
LU1543696352 Allianz Europe Equity Value - AT - EUR
22.19%
3.31%
LU1645745040 Allianz Europe Income and Growth - AM (H2-AUD)
19.58%
1.89%
LU1645745123 Allianz Europe Income and Growth - AM (H2-CAD)
19.58%
1.89%
LU1645745396 Allianz Europe Income and Growth - AM (H2-GBP)
19.58%
1.89%
LU1645745479 Allianz Europe Income and Growth - AM (H2-HKD)
19.58%
1.89%
LU1645745552 Allianz Europe Income and Growth - AM (H2-NZD)
19.58%
1.89%
LU1645745636 Allianz Europe Income and Growth - AM (H2-SGD)
19.58%
1.89%
LU1652855146 Allianz Europe Equity Value - RT - EUR
22.19%
3.31%
LU1670756490 Allianz Europe Income and Growth - AT (H2-USD)
19.58%
1.89%
LU1687709367 Allianz Euro Investment Grade Bond Strategy - RT - EUR
10.04%
1.86%
LU1377965626 Allianz Euroland Equity SRI - RT - EUR
17.67%
3.08%
LU1780480585 Allianz Euro Investment Grade Bond Strategy -P-EUR
10.04%
1.86%
LU1794554474 Allianz Europe Income and Growth - AM (H2-RMB)-CNY
19.58%
1.89%
LU1931926379 Allianz Europe Equity Value - R - EUR
22.19%
3.31%
DE0008471921 Allianz Flexi Rentenfonds - A - EUR
8.3%
1.59%
LU0414045822 Allianz European Equity Dividend - AT - EUR ESG-Eigenlabel
28.3%
4.14%
LU0414046390 Allianz European Equity Dividend - CT - EUR ESG-Eigenlabel
28.3%
4.14%
LU0414045582 Allianz European Equity Dividend - A - EUR ESG-Eigenlabel
28.3%
4.14%
LU0739341922 Allianz European Equity Dividend AT (H-PLN) ESG-Eigenlabel
28.3%
4.14%
LU0971552913 Allianz European Equity Dividend - AM - EUR ESG-Eigenlabel
28.3%
4.14%
LU0971552756 Allianz European Equity Dividend - AM - H2 AUD ESG-Eigenlabel
28.3%
4.14%
LU0971552830 Allianz European Equity Dividend - AM - H2 HKD ESG-Eigenlabel
28.3%
4.14%
LU0971552673 Allianz European Equity Dividend - AM - H2 USD ESG-Eigenlabel
28.3%
4.14%
LU0857590946 Allianz European Equity Dividend - P - EUR ESG-Eigenlabel
28.3%
4.14%
LU1015033050 Allianz European Equity Dividend - AM (H2-RMB) CNY ESG-Eigenlabel
28.3%
4.14%
LU1046248800 Allianz European Equity Dividend - AM (H2-SGD) SGD ESG-Eigenlabel
28.3%
4.14%
LU1111122583 Allianz European Equity Dividend Aktienzins A2 EUR ESG-Eigenlabel
28.3%
4.14%
LU1173935187 Allianz European Equity Dividend - R - EUR ESG-Eigenlabel
28.3%
4.14%
LU1173935005 Allianz European Equity Dividend - RT - EUR ESG-Eigenlabel
28.3%
4.14%
LU1206706621 Allianz European Equity Dividend - AQ - EUR ESG-Eigenlabel
28.3%
4.14%
LU1250163083 Allianz European Equity Dividend - PT - EUR ESG-Eigenlabel
28.3%
4.14%
LU1250163166 Allianz European Equity Dividend - PT (H2-CHF) CHF ESG-Eigenlabel
28.3%
4.14%
LU1269085392 Allianz European Equity Dividend - A H2-CZK - CZK ESG-Eigenlabel
28.3%
4.14%
LU1288334045 Allianz European Equity Dividend - AT (H2-CZK) ESG-Eigenlabel
28.3%
4.14%
LU1302929846 Allianz European Equity Dividend AMg (H2-USD) USD ESG-Eigenlabel
28.3%
4.14%
LU1372148574 Allianz European Equity Dividend - AM (H2-NZD) ESG-Eigenlabel
28.3%
4.14%
LU1512820165 Allianz European Equity Dividend - RT (H2-CHF)CHF ESG-Eigenlabel
28.3%
4.14%
LU1512822880 Allianz European Equity Dividend - AT (H2-CHF)CHF ESG-Eigenlabel
28.3%
4.14%
LU1664206874 Allianz European Equity Dividend - A20 - EUR ESG-Eigenlabel
28.3%
4.14%
LU1670757035 Allianz European Equity Dividend - AM (H2-GBP) GBP ESG-Eigenlabel
28.3%
4.14%
LU1835930139 Allianz European Equity Dividend - PM (H2-USD)-USD ESG-Eigenlabel
28.3%
4.14%
LU1953144893 Allianz European Equity Dividend - CM - USD ESG-Eigenlabel
28.3%
4.14%
LU1953144620 Allianz European Equity Dividend - CT - USD ESG-Eigenlabel
28.3%
4.14%
LU1202788789 Allianz Global Dividend A
23.32%
1.28%
LU1282650743 Allianz Global Dividend AMg USD
23.32%
1.28%
LU1311291493 Allianz Glbl Dynamic Multi Asset Strategy 50 A EUR
6.72%
0.19%
LU1480276176 Allianz Global Credit - AT (H2-EUR)EUR
11.33%
1.19%
LU1527140096 Allianz Global Credit - P10 (H2-EUR)EUR
11.33%
1.19%
LU1565691190 Allianz Global Credit - PT - GBP
11.33%
1.19%
LU1565691356 Allianz Global Credit - PT - USD
11.33%
1.19%
LU1677195460 Allianz Global Credit - RT (H2-EUR)EUR
11.33%
1.19%
LU1677195627 Allianz Global Credit - RT - USD
11.33%
1.19%
LU1861127683 Allianz Global Dyn Mlt Asset Str 50-AMg(H2-AUD)AUD
6.72%
0.19%
LU1861127766 Allianz Global Dyn Mlt Asset Str 50-AMg(H2-EUR)EUR
6.72%
0.19%
LU1861127840 Allianz Global Dyn Mlt Asset Str 50-AMg(H2-GBP)GBP
6.72%
0.19%
LU1861127501 Allianz Global Dyn Mlt Asset Str 50-AMg(H2-SGD)SGD
6.72%
0.19%
LU1861127337 Allianz Global Dynamic Multi Asset Str 50-AMg-USD
6.72%
0.19%
LU1865150996 Allianz Global Dynamic Multi Asset Strategy 50-AMg(H2RMB)CNY
6.72%
0.19%
LU2014481159 Allianz Global Credit RT (H-CHF)
11.33%
1.19%
DE0008471400 Allianz Rentenfonds - A - EUR
2.04%
0.15%
LU0268212239 Allianz Multi Asset Risk Control - A - EUR
5.41%
0.29%
DE0009797415 Allianz Rentenfonds - P - EUR
2.04%
0.15%
DE0009797654 Allianz Rentenfonds - P2 - EUR
2.04%
0.15%
DE000A2DU1G9 Allianz Rentenfonds - R - EUR
2.04%
0.15%
DE0009797258 Allianz Strategiefonds Balance - A - EUR
10.73%
0.21%
DE0009797266 Allianz Strategiefonds Wachstum - A - EUR
13.14%
0.33%
DE0009797274 Allianz Strategiefonds Wachstum Plus - A - EUR
15.14%
0.43%
DE0009797282 Allianz Strategiefonds Stabilitaet - A - EUR
6.14%
0.74%
LU0224474329 Allianz Stiftungsfonds Nachhaltigkeit - P - EUR
5.44%
0.65%
LU0224473941 Allianz Stiftungsfonds Nachhaltigkeit - A - EUR
5.44%
0.65%
DE0009797571 Allianz Strategiefonds Balance - PT2 - EUR
10.73%
0.21%
DE0009797621 Allianz Strategiefonds Stabilitaet - A2 - EUR
6.14%
0.74%
DE0009797639 Allianz Strategiefonds Wachstum - A2 - EUR
13.14%
0.33%
DE0009797647 Allianz Strategiefonds Stabilitaet - AT - EUR
6.14%
0.74%
DE0009797662 Allianz Strategiefonds Wachstum Plus - P2 - EUR
15.14%
0.43%
DE000A2DU1H7 Allianz Strategiefonds Balance - R - EUR
10.73%
0.21%
DE000A2DU1J3 Allianz Strategiefonds Stabilitt - R - EUR
6.14%
0.74%
DE000A2DU1K1 Allianz Strategiefonds Wachstum - R - EUR
13.14%
0.33%
LU1735602226 Allianz Stiftungsfonds Nachhaltigkeit - SRI AT EUR
5.44%
0.65%
DE0008481813 Allianz Vermoegensbildung Europa - A - EUR
20.91%
2.93%
LU0178431259 Allianz Treasury Short Term Plus Euro-A-EUR
6.7%
0.04%
LU1132057099 Allianz Treasury Short Term Plus Euro - P2 - EUR
6.7%
0.04%
LU1677199538 Allianz Treasury Short Term Plus Euro - R - EUR
6.7%
0.04%
DE000A2DU1N5 Allianz Vermoegensbildung Europa - P - EUR
20.91%
2.93%
DE000A2DU1M7 Allianz Vermgensbildung Eur-Actions Eur V IT3-EUR
20.91%
2.93%
LU1931926452 Allianz Treasury Short Term Plus Euro - RT - EUR
6.7%
0.04%
DE0009797381 VermoegensManagement Stabilitaet - A - EUR
3.41%
0.33%
DE0009777003 DWS Concept DJE Globale Aktien
7.78%
0.80%
DE0008474123 DWS Global Natural Resources Equity Typ O
49.24%
2.91%
LU1769937829 DWS Invest CROCI Euro IC
29.63%
3.12%
LU1769938124 DWS Invest CROCI Euro LD
29.63%
3.12%
LU1769938397 DWS Invest CROCI Euro TFC
29.63%
3.12%
LU1769938470 DWS Invest CROCI Euro USD LCH
29.63%
3.12%
LU1769938041 DWS Invest CROCI Euro LC
29.63%
3.12%
LU0099730524 DWS Institutional ESG Euro Money Market Fund IC ESG-Eigenlabel
2.2%
0.17%
LU0116291054 Multi Opportunities
8.38%
1.88%
LU0148742835 DWS Multi Opportunities FC
7.79%
2.14%
LU0360863863 ARERO - Der Weltfonds
9.17%
0.21%
LU0787086031 DWS Institutional ESG Euro Money Market Fund ID BA ESG-Eigenlabel
2.2%
0.17%
LU1017789246 Vermoegensfondsmandat flexibel 80% teilgeschuetzt
7.31%
0.94%
LU1054321861 DWS Invest Multi Opportunities NDQ
7.74%
2.12%
LU1054321945 DWS Invest Multi Opportunities PFC
7.74%
2.12%
LU1054322083 DWS Invest Multi Opportunities PFDQ
7.74%
2.12%
LU1196386152 DWS Invest Multi Opportunities LDMH SGD Dis
7.74%
2.12%
LU1196394099 DWS Invest Multi Opportunities USD LCH
7.74%
2.12%
LU1224427564 DWS Invest Multi Opportunities USD FCH
7.74%
2.12%
LU1254146647 DWS Invest Multi Opportunities LD USD LDMH
7.74%
2.12%
LU1289539220 DWS Invest Multi Opportunities RMB LDMH
7.74%
2.12%
LU1289020312 DWS Invest Multi Opportunities SEK LCH
7.74%
2.12%
LU1466077309 Zurich Corporate Bonds Long
25.89%
3.41%
LU1466077648 Zurich Global Equity
15.68%
0.35%
LU1590089758 DWS Multi Opportunities RC
7.79%
2.14%
LU1663932728 DWS Invest Multi Opportunities TFC
7.74%
2.12%
LU1663932991 DWS Invest Multi Opportunities TFD
7.74%
2.12%
LU1663933882 DWS Invest Multi Opportunities USD TFCH
7.74%
2.12%
LU1673812605 DWS Multi Opportunities TFC
7.79%
2.14%
LU1673813165 DWS Multi Opportunities TFD
7.79%
2.14%
LU0781238000 DWS Invest II European Top Dividend XC
20.15%
3.44%
LU0781237614 DWS Invest II European Top Dividend LC
20.15%
3.44%
LU0781237705 DWS Invest II European Top Dividend LD
20.15%
3.44%
LU0781237887 DWS Invest II European Top Dividend NC
20.15%
3.44%
LU0781237960 DWS Invest II European Top Dividend ND
20.15%
3.44%
LU0781238182 DWS Invest II European Top Dividend XD
20.15%
3.44%
LU1241941308 DWS Invest II European Top Dividend FC
20.15%
3.44%
LU1242509609 DWS Invest II European Top Dividend FD
20.15%
3.44%
LU1322113702 DWS Invest II European Top Dividend CHFLDH(P)
20.15%
3.44%
LU1322113884 DWS Invest II European Top Dividend LDH(P)
20.15%
3.44%
LU1663960000 DWS Invest II European Top Dividend TFC
20.15%
3.44%
LU1663960182 DWS Invest II European Top Dividend TFD
20.15%
3.44%
LU0130393993 DWS ESG European Equities LC ESG-Eigenlabel
18.15%
2.38%
LU0145644893 DWS Invest Top Euroland LC
12.45%
1.96%
LU0145647722 DWS Invest Top Euroland FC
12.45%
1.96%
LU0145647052 DWS Invest Top Euroland LD
12.45%
1.96%
LU0507266061 DWS Invest Top Div LD
7.82%
2.45%
LU0507265923 DWS Invest Top Div LC
7.82%
2.45%
LU0511520347 DWS Invest Top Div GBP LD DS
7.82%
2.45%
LU0507266228 DWS Invest Top Div FC
7.82%
2.45%
LU0507266491 DWS Invest Top Div USD LC
7.82%
2.45%
LU0616864442 DWS Invest Top Div SGD LDQ
7.82%
2.45%
LU0616864012 DWS Invest Top Div CHF LCH (P)
7.82%
2.45%
LU0616864285 DWS Invest Top Div CHF FCH (P)
7.82%
2.45%
LU0740838460 DWS Invest Top Div SGD LC
7.82%
2.45%
LU0740838544 DWS Invest Top Div SGD LCH (P)
7.82%
2.45%
LU0544572604 DWS Invest Top Div USD LCH (P)
7.82%
2.45%
LU0740838031 DWS Invest Top Div USD LDH (P)
7.82%
2.45%
LU0740838205 DWS Invest Top Div FD
7.82%
2.45%
LU0911038932 DWS Invest Top Dividend GBP D RD
7.82%
2.45%
LU0507266574 DWS Invest Top Div USD FC
7.82%
2.45%
LU0911038775 DWS Invest Top Div USD LDQ
7.82%
2.45%
LU0911038858 DWS Invest Top Div SGD LDQH (P)
7.82%
2.45%
LU0986127263 DWS Invest Top Euroland USD LCH
12.45%
1.96%
LU0911039740 DWS Invest Top Euroland GBP D RD
12.45%
1.96%
LU0616864954 DWS Invest Top Euroland IC
12.45%
1.96%
LU0911039310 DWS Invest Top Div LDQH (P)
7.82%
2.45%
LU1054341976 DWS Invest Top Euroland SGD LCH (P)
12.45%
1.96%
LU0911038429 DWS Invest Top Div USD LDM
7.82%
2.45%
LU0911039666 DWS Invest Top Euroland USD FCH
12.45%
1.96%
LU0740840441 DWS Invest Top Euroland FD
12.45%
1.96%
LU0616863808 DWS Invest Top Dividend ID
7.82%
2.45%
LU1263963255 DWS Invest Top Div GBP C RD
7.82%
2.45%
LU1282658993 DWS Invest Top Div USD LDQH (P)
7.82%
2.45%
LU1282659025 DWS Invest Top Div SEK LCH (P)
7.82%
2.45%
LU0813338588 DWS Invest Top Dividend USD FCH (P)
7.82%
2.45%
LU1472572954 DWS Invest Top Div IC
7.82%
2.45%
LU1589658365 DWS Invest Top Div IDQ
7.82%
2.45%
LU1663951603 DWS Invest Top Div TFC
7.82%
2.45%
LU1663954375 DWS Invest Top Euroland TFC
12.45%
1.96%
LU1663956073 DWS Invest Top Euroland TFD
12.45%
1.96%
LU1897138860 DWS Invest CROCI Euro NC
29.63%
3.12%
LU1923310137 DWS Invest CROCI Euro IC50
29.63%
3.12%
DE0009769992 LEA-Fonds DWS
27.83%
3.21%
DE0009769802 Loewen-Aktienfonds
21.77%
1.72%
DE0009848036 E.ON Aktienfonds DWS
21.47%
1.60%
LU1978535224 DWS Invest Top Dividend TFCH (P)
7.82%
2.45%
DE0009778563 DWS Qi Eurozone Equity RC
20.29%
1.61%
DE000A0M6W69 DWS Qi European Equity SC
21.11%
1.06%
DE000A0YCG63 DWS Qi Eurozone Equity FD
20.29%
1.61%
DE000DWS1726 DWS Qi European Equity LC
21.11%
1.06%
DE000DWS1742 DWS Qi European Equity FC
21.11%
1.06%
DE000DWS1767 DWS Qi European Equity IC
21.11%
1.06%
DE000DWS2SQ1 DWS Qi European Equity TFC
21.11%
1.06%
DE000DWS2WB5 DWS Qi Eurozone Equity IC
20.29%
1.61%
DE0008476516 DWS Vermoegensbildungsfonds R LD
4.16%
0.64%
DE0008490988 DWS Global Hybrid Bond Fund LD
15.37%
2.15%
LU0044387529 DWS ESG Euro Bonds (Long) LC ESG-Eigenlabel
2.08%
1.26%
LU0003549028 DWS Eurorenta
2.91%
0.33%
DE0008474032 DWS Euroland Strategie (Renten) LD
6.12%
0.37%
LU0036319159 DWS ESG Euro Bonds (Medium) LC ESG-Eigenlabel
1.9%
0.62%
LU0649391066 DWS Zinseinkommen EUR
3.19%
0.42%
DE000DWS1U41 DWS Global Hybrid Bond Fund FC
15.37%
2.15%
DE000DWS1U58 DWS Global Hybrid Bond Fund FD
15.37%
2.15%
LU1245923641 DWS Invest Corporate Hybrid Bonds LD
33.59%
4.14%
LU1245923484 DWS Invest Corporate Hybrid Bonds LC
33.59%
4.14%
LU1245923302 DWS Invest Corporate Hybrid Bonds FC
33.59%
4.14%
LU1292896518 DWS Invest Corporate Hybrid Bonds CHF FCH
33.59%
4.14%
LU1292896781 DWS Invest Corporate Hybrid Bonds USD FCH
33.59%
4.14%
LU1292896864 DWS Invest Corporate Hybrid Bonds USD LCH
33.59%
4.14%
LU1292896948 DWS Invest Corporate Hybrid Bonds XC
33.59%
4.14%
LU1292897086 DWS Invest Corporate Hybrid Bonds XD
33.59%
4.14%
LU1292896609 DWS Invest Corporate Hybrid Bonds CHF LCH
33.59%
4.14%
LU1532502355 DWS Invest Corporate Hybrid Bonds SGD LDMH
33.59%
4.14%
LU1532502272 DWS Invest Corporate Hybrid Bonds USD FDH
33.59%
4.14%
LU1532502439 DWS Invest Corporate Hybrid Bonds USD LDMH
33.59%
4.14%
LU1550205394 DWS Invest Corporate Hybrid Bonds USD FDQH
33.59%