DWS Floating Rate Notes LCS'inscrire pour voir les notations |
Performance du fonds | 31/10/2024 |
Base 1000 (EUR) | Graphique Avancé |
Fonds | -0,3 | -0,3 | -0,9 | 4,5 | 3,9 | |
+/-Cat | -0,3 | 0,1 | 0,7 | 0,9 | 0,6 | |
+/-Ind | 0,2 | 0,3 | -0,9 | 1,2 | 0,7 | |
Catégorie: Obligations EUR Très Court Terme | ||||||
Benchmark: FTSE EUR EuroDep 3 Mon EUR |
Vue d’Ensemble | ||
VL 22/11/2024 | EUR 90,02 | |
Évolution jour | 0,01% | |
Catégorie Morningstar | Obligations EUR Très Court Terme | |
ISIN | LU0034353002 | |
Actif du fonds (Mil) 22/11/2024 | EUR 8748,18 | |
Actif de la part (Mil) 22/11/2024 | EUR 4696,69 | |
Frais de souscription max | 1,00% | |
Frais courants 29/04/2024 | 0,26% | |
PEA | non | |
PEAPME | non |
Objectif d’Investissement: DWS Floating Rate Notes LC |
The objective of the investment policy of the fund is to generate a return in euro. The fund is actively managed. The fund is not managed with reference to a benchmark. At least 70% of the fund’s assets are invested in floating rate bonds denominated in euro or hedged against the euro. Furthermore, the fund’s assets may be invested in convertible bonds or fixed rate bonds that are traded on stock exchanges, or in another regulated market that is recognized, open to the public and operates regularly, in a member country of the Organisation for Economic Co-operation and Development (OECD), the G20, the EU or Singapore, as well as in investment funds (including money market funds), deposits with credit institutions and money market instruments. |
Returns | ||||||||||
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Gestion | ||
Nom du gérant Date de début | ||
Christian Reiter 15/03/2005 | ||
Torsten Haas 15/03/2005 | ||
Date de création 15/07/1991 |
Publicité |
Benchmark | |
Benchmark du fonds | Benchmark de la catégorie Morningstar |
Not Benchmarked | FTSE EUR EuroDep 3 Mon EUR |
Target Market | ||||||||||||||||||||
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Que détient ce fonds ? DWS Floating Rate Notes LC | 30/09/2024 |
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