Resultado de la búsqueda
Fondo![]() ![]() | Fecha![]() ![]() | |||||
---|---|---|---|---|---|---|
2025![]() ![]() | ||||||
![]() ![]() | ||||||
DWS GLOBAL HYBRID BOND LD | 15/09 | 4,97% | ||||
DWS GLOBAL HYBRID BOND TFC | 15/09 | 5,16% | ||||
DWS GLOBAL HYBRID BOND TFD | 15/09 | 5,16% | ||||
DWS GLOBAL VALUE IC | 15/09 | 3,62% | ||||
DWS HEALTH CARE TYP O FC | 15/09 | -11,27% | ||||
DWS HEALTH CARE TYP O NC | 15/09 | -11,79% | ||||
DWS INDIA LC | 15/09 | -12,15% | ||||
DWS INDIA TFC | 15/09 | -11,53% | ||||
DWS INSTITUTIONAL ESG EURO MONEY MARKET FUND IC | 15/09 | 1,74% | ||||
DWS INSTITUTIONAL ESG EURO MONEY MARKET FUND ID | 15/09 | -1,88% |