Informationen zum Unternehmen
Name Broadcom Inc.
ISIN US1113201073
US11135F1012
BRAVGOBDR003
Website https://www.broadcom.com/
Konflikte
Erläuterung Broadcom Inc. ist ein Designer, Entwickler und weltweiter Lieferant von Halbleitervorrichtungen, die in Endprodukten verwendet werden, wie z.B. Unternehmens- und Rechenzentrumsvernetzung, Heimvernetzung, Telekommunikationsausrüstung, Smartphones, Rechenzentrumsserver und Speichersysteme, Fabrikautomatisierung, Energieerzeugung und alternative Energiesysteme sowie elektronische Anzeigen.
Das Unternehmen erzielte beim Corporate Human Rights Benchmark (CHRB) 2019 eine Bewertung von unter 10%. Der CHRB untersucht fast 200 der größten börsennotierten Unternehmen der Branchen Agrar, Bekleidung, Rohstoffe und Informations- und Kommunikationstechnologie (ICT). Die Bewertung beruht auf öffentlich zugänglichen Informationen zu Unternehmensführung, Richtlinien, Prozessen und angewandten Praktiken der Unternehmen in Bezug auf menschenrechtliche Verpflichtungen. Dabei spielen eine Reihe von Menschenrechtsindikatoren wie bspw. die Verpflichtung zur Achtung von UN-Leitprinzipien, Vorkommen von Zwangsarbeit, Einhaltung Mindestlohn, etc. eine Rolle.
Die Ergebnisse des CHRB sind ein Indikator für die Einhaltung der Menschenrechte durch Unternehmen. Eine niedrige Bewertung durch den CHRB bedeutet nicht notwendigerweise, dass Verstöße oder schlechte Praktiken vorliegen, oder internen Maßnahmen zu diesem Thema fehlen (da diese lediglich nicht öffentlich kommuniziert werden). Dennoch sind insbesondere in globalen Lieferketten Risiken zu Verstößen gegen Arbeits- und Menschenrechte nachweislich hoch und verbreitet. Mangelnde grundlegende Verpflichtungen und ein fehlendes öffentliches Bekenntnis zu Arbeits- und Menschenrechten signalisieren allerdings, dass angemessene Prozesse fehlen, um nachteilige Auswirkungen auf die Menschenrechte zu vermeiden oder wirksame Abhilfemaßnahmen zu ergreifen, nachdem negative Vorfälle aufgetreten sind.
Eine Gesamtbewertung von unter 10% legt demnach nahe, dass ein Unternehmen die wirksame Achtung von Menschenrechten nicht ausreichend nachweisen kann und somit die menschenrechtlichen Sorgfaltspflichten, die die UN-Leitprinzipien für Wirtschaft und Menschenrechte (UNGPs) fordern, nicht ausreichend umgesetzt werden.
Quellen Corporate Human Rights Benchmark 2019
Anzahl laufender Anleihen 44
Anzahl beinhaltender Fonds 486
Fonds, die Aktien oder Anleihen des Unternehmens halten
ISIN des Fonds Name Bemerkung Gesamthöhe kontroverser Unternehmensbeteiligungen Höhe der Beteiligung in Broadcom Inc.
LU0933100637 Allianz Best Styles US Equity AT EUR
18.42%
0.34%
LU0933100983 Allianz Best Styles US Equity AT H2 EUR
18.42%
0.34%
LU1132059038 Allianz Best Styles US Equity - P2 - USD
18.42%
0.34%
LU1136182216 Allianz Best Styles US Equity - RT - GBP
18.42%
0.34%
LU1157230142 Allianz Best Styles US Equity - A - EUR
18.42%
0.34%
LU1093758610 Allianz Best Styles US Equity - P - EUR
18.42%
0.34%
LU1228143191 Allianz Best Styles US Equity - CT (H-EUR) - EUR
18.42%
0.34%
LU1377964819 Allianz Best Styles US Equity - RT - EUR
18.42%
0.34%
LU1428085952 Allianz Best Styles US Equity - AT - USD
18.42%
0.34%
LU1687709870 Allianz Best Styles US Equity - AT - CZK
18.42%
0.34%
LU1698897839 Allianz Best Styles US Equity - RT - USD
18.42%
0.34%
LU1730008049 Allianz Best Styles US Equity -CT2- USD
18.42%
0.34%
LU2115180577 Allianz Best Styles US Equity - YT - GBP
18.42%
0.34%
LU0256844787 Allianz US Equity Fund - CT - EUR
21.61%
1.41%
LU0256863811 Allianz US Equity Fund - A - USD
21.61%
1.41%
LU0400426366 Allianz US Equity Fund - N - EUR
21.61%
1.41%
LU0417517892 Allianz US Equity Dividend - AT - SGD
21.35%
1.13%
LU0417517546 Allianz US Equity Fund - AT - SGD
21.61%
1.41%
LU0256843979 Allianz US Equity Fund - A - EUR
21.61%
1.41%
LU0499289394 Allianz US Equity Fund - N - USD
21.61%
1.41%
LU0256863902 Allianz US Equity Fund - AT - USD
21.61%
1.41%
LU0256896159 Allianz US Equity Fund - P - EUR
21.61%
1.41%
LU0849477848 Allianz US Equity Fund - P - GBP
21.61%
1.41%
LU0256914820 Allianz US Equity Fund - P - USD
21.61%
1.41%
LU1109653037 Allianz US Equity Dividend - AM - USD
21.35%
1.13%
LU1302930265 Allianz US Equity Dividend - AMg - USD
21.35%
1.13%
LU1366192091 Allianz US Equity Plus - AM - USD
22.62%
1.23%
LU1685828037 Allianz Structured Alpha US Equity 250 RT USD
22.07%
0.45%
LU1645745800 Allianz Structured Alpha US Equity 250 P10 USD
22.07%
0.45%
LU1645745982 Allianz Structured Alpha US Equity 250 P10(H2EUR)
22.07%
0.45%
LU1685827815 Allianz Structured Alpha US Equity 250 PT3 USD
22.07%
0.45%
LU1865151614 Allianz Structured Alpha US Equity 250AT13(H2-EUR)
22.07%
0.45%
LU1861128657 Allianz Structured Alpha US Equity 250 - AT13 -EUR
22.07%
0.45%
LU2002383466 Allianz US Equity Dividend - RM - USD
21.35%
1.13%
LU2002383383 Allianz US Equity Dividend - PM - USD
21.35%
1.13%
LU2002383110 Allianz US Equity Dividend - PT - USD
21.35%
1.13%
LU2002383037 Allianz US Equity Dividend - AT - USD
21.35%
1.13%
LU2002383201 Allianz US Equity Dividend - RT - USD
21.35%
1.13%
LU2034161641 Allianz Structured Alpha US Equity 250 P24 (USD)
22.07%
0.45%
LU1992127024 Allianz US Equity Fund C2 (USD)
21.61%
1.41%
LU1992126729 Allianz US Equity Fund A (H-EUR)
21.61%
1.41%
LU1992126992 Allianz US Equity Fund AT (EUR)
21.61%
1.41%
LU1992127610 Allianz US Equity Fund AT (H-EUR)
21.61%
1.41%
LU1992127370 Allianz US Equity Fund RT (EUR)
21.61%
1.41%
LU1992127453 Allianz US Equity Fund RT (USD)
21.61%
1.41%
DE0009769638 CONVEST 21 VL - A - EUR
15.68%
0.46%
DE0008471020 Fondis - A - EUR
15.77%
0.45%
DE0008475039 Allianz US Large Cap Growth - A - EUR
14.04%
0.75%
LU1865151531 Allianz US Equity Plus - AM (H2-RMB) - CNY
22.62%
1.23%
DE0008471467 Allianz Global Equity Dividend - A - EUR
16.75%
0.88%
LU1202788789 Allianz Global Dividend A
17.84%
0.93%
LU1282650743 Allianz Global Dividend AMg USD
17.84%
0.93%
LU1480276176 Allianz Global Credit - AT (H2-EUR)EUR ESG-Eigenlabel
5.33%
0.57%
LU1527140096 Allianz Global Credit - P10 (H2-EUR)EUR ESG-Eigenlabel
5.33%
0.57%
LU1565691190 Allianz Global Credit - PT - GBP ESG-Eigenlabel
5.33%
0.57%
LU1565691356 Allianz Global Credit - PT - USD ESG-Eigenlabel
5.33%
0.57%
LU1548497772 Allianz Global Artificial Intelligence -AT(H2EUR)
12.18%
1.49%
LU1548497426 Allianz Global Artificial Intelligence -AT - USD
12.18%
1.49%
LU1579353134 Allianz Global Artificial Intelligence -PT(H2GBP)
12.18%
1.49%
LU1597246542 Allianz Global Artificial Intelligence -PT(H2CHF)
12.18%
1.49%
LU1597246385 Allianz Global Artificial Intelligence - PT - GBP
12.18%
1.49%
LU1597246039 Allianz Global Artificial Intelligence - RT - EUR
12.18%
1.49%
LU1548497699 Allianz Global Artificial Intelligence - AT - EUR
12.18%
1.49%
LU1602091867 Allianz Global Artificial Intelligence - CT - EUR
12.18%
1.49%
LU1641601064 Allianz Global Artificial Intelligence -AT(H2CZK)
12.18%
1.49%
LU1548497186 Allianz Global Artificial Intelligence - A - EUR
12.18%
1.49%
LU1677195205 Allianz Global Artificial Intelligence - R - EUR
12.18%
1.49%
LU1677195031 Allianz Global Artificial Intelligence -RT (H2EUR)
12.18%
1.49%
LU1698898050 Allianz Global Artificial Intelligence - RT - USD
12.18%
1.49%
DE000A2DU1F1 Allianz Global Equity Dividend - R - EUR
16.75%
0.88%
LU1720051017 Allianz Glbl Artificial Intelligence - AT (H2-SGD) - SGD
12.18%
1.49%
LU1720051108 Allianz Global Artificial Intelligence - AT - HKD
12.18%
1.49%
LU1677195460 Allianz Global Credit - RT (H2-EUR)EUR ESG-Eigenlabel
5.33%
0.57%
LU1677195627 Allianz Global Credit - RT - USD ESG-Eigenlabel
5.33%
0.57%
DE000A2DU1S4 Allianz Global Equity Dividend - P - EUR
16.75%
0.88%
LU1820980867 Allianz Global Artific Intelligence-CT(H2-EUR)-EUR
12.18%
1.49%
LU1851367877 Allianz Global Artific Intelligence-AT(H2-RMB)-CNY
12.18%
1.49%
LU1883297563 Allianz Global Artificial Intelligen-AT(H2-JPY)JPY
12.18%
1.49%
LU1953145197 Allianz Global Artificial Intelligence - CT - USD
12.18%
1.49%
LU1970681679 Allianz Global Artificial Intelligence - P - EUR
12.18%
1.49%
LU1254138628 Allianz Global Emerging Markets Eq Dividend A EUR
9.61%
0.67%
LU2014481159 Allianz Global Credit RT (H-CHF) ESG-Eigenlabel
5.33%
0.57%
LU0348723411 Allianz Global Hi-Tech Growth - A - USD
12.19%
3.45%
LU0890505703 Allianz Global Fundamental Strategy D (H2-USD)
10.94%
0.94%
LU0986130309 Allianz Global Fundamental Strategy - CT2 (EUR)
10.94%
0.94%
LU1036042908 Allianz Global Fundamental Strategy D (EUR)
10.94%
0.94%
LU1136180517 Allianz Global Fundamental Strategy - RT2 (H-GBP)
10.94%
0.94%
LU1309437132 Allianz Global Fundamental Strategy - AT2 - EUR
10.94%
0.94%
LU1480269049 Allianz Global Multi-Asset Credit -AT(H2-EUR)EUR
3.84%
1.03%
LU1480268660 Allianz Global Multi-Asset Credit - A (H2-EUR)EUR
3.84%
1.03%
LU1480270054 Allianz Global Multi-Asset Credit - P (H2-EUR)EUR
3.84%
1.03%
LU1480270997 Allianz Global High Yield - A - USD
4.84%
1.03%
LU1480271532 Allianz Global High Yield - AT (H2-EUR)EUR
4.84%
1.03%
LU1480272266 Allianz Global High Yield - P - USD
4.84%
1.03%
LU1480272423 Allianz Global High Yield - P (H2-EUR)EUR
4.84%
1.03%
LU1516273585 Allianz Global High Yield - P (H2-GBP)GBP
4.84%
1.03%
LU1527139833 Allianz Global High Yield - P10 (H2-EUR)EUR
4.84%
1.03%
LU1309437488 Allianz Global Fundamental Strategy - AT3 - EUR
10.94%
0.94%
LU1480268744 Allianz Global Multi-Asset Credit - AT - USD
3.84%
1.03%
LU1480270641 Allianz Global Multi-Asset Credit - CT (H2-EUR)
3.84%
1.03%
LU1568875956 Allianz Global Multi-Asset Credit - AQ (H2-EUR)
3.84%
1.03%
LU1568875873 Allianz Global Multi-Asset Credit - AQ - USD
3.84%
1.03%
LU1597343828 Allianz Global Multi-Asset Credit - C (H2EUR)EUR
3.84%
1.03%
LU1597343745 Allianz Global Multi-Asset Credit - AT (H2-CZK)
3.84%
1.03%
LU1597344396 Allianz Global Multi-Asset Credit - PT (H2-CHF)
3.84%
1.03%
LU1597344479 Allianz Global Multi-Asset Credit - PT - USD
3.84%
1.03%
LU1637808442 Allianz Global High Yield - AMg - USD
4.84%
1.03%
LU1652854925 Allianz Global High Yield - RT (H2-EUR)EUR
4.84%
1.03%
LU1677197086 Allianz Global High Yield - RT - USD
4.84%
1.03%
LU1723479678 Allianz Global Fundamental Strategy - A - EUR
10.94%
0.94%
LU1723484678 Allianz Global Fundamental Strategy - R - EUR
10.94%
0.94%
LU1677196864 Allianz Global Fundamental Strategy - RT - EUR
10.94%
0.94%
LU1740661084 Allianz Global Floating Rate N Plus-A(H2-EUR)-EUR
3.81%
0.45%
LU1740661167 Allianz Global Floating Rate No Pl -AT(H2-EUR)-EUR
3.81%
0.45%
LU1740659690 Allianz Global Floating Rate Notes Plus - AT - USD
3.81%
0.45%
LU1740661597 Allianz Global Floating Rate N Plus-P (H2-EUR)-EUR
3.81%
0.45%
LU1740662058 Allianz Global Floating Rate N Plus-P10(H2-EUR)EUR
3.81%
0.45%
LU1740660607 Allianz Global Floating Rate Notes Plus -P10-USD
3.81%
0.45%
LU1740660862 Allianz Global Floating Rate Notes P-R(H2-EUR)-EUR
3.81%
0.45%
LU1740660946 Allianz Global Floating Rate Note P-RT(H2-EUR)-EUR
3.81%
0.45%
LU1728567725 Allianz Global High Yield - AT (H2-SEK) - SEK
4.84%
1.03%
LU1480268405 Allianz Global Multi-Asset Credit - A - USD
3.84%
1.03%
LU1807156069 Allianz Global Floating Rate Notes Plus - AQ - USD
3.81%
0.45%
LU1807156143 Allianz Global Floating Rate Notes Plus - PQ - USD
3.81%
0.45%
LU1831039380 Allianz Global Multi-Asset Credit - PT(H2-EUR)-EUR
3.84%
1.03%
LU1831039547 Allianz Global Multi-Asset Credit - P (H2-GBP)-GBP
3.84%
1.03%
LU1846563374 Allianz Global Fl Rate Notes Plus-AMg(H2-SGD)-SGD
3.81%
0.45%
LU1846562483 Allianz Global Floating Rate Notes Plus - AMg -USD
3.81%
0.45%
LU1740659344 Allianz Global Floating Rate Notes Plus - RT - USD
3.81%
0.45%
LU1851368339 Allianz Global Floating Rate Notes Plus - AMg -HKD
3.81%
0.45%
LU1851368412 Allianz Global Floating Rate Notes P-AT(H2-SGD)SGD
3.81%
0.45%
LU1851368503 Allianz Global Floating Rate Notes Plus - AT - HKD
3.81%
0.45%
LU1858968388 Allianz Global Multi-Asset Credit-AMg(H2-AUD)-AUD
3.84%
1.03%
LU1858968461 Allianz Global Multi-Asset Credit-AMg(H2-ZAR)-ZAR
3.84%
1.03%
LU1858968206 Allianz Global Mlti-Asset Credit-AMg-USD
3.84%
1.03%
LU1861128491 Allianz Global Floating Rate No Pl-AMg3(H2-SGD)SGD
3.81%
0.45%
LU1859410943 Allianz Global Floating Rate Notes Plus-AMg3-HKD
3.81%
0.45%
LU1859410869 Allianz Global Floating Rate Notes Plus-AMg3-USD
3.81%
0.45%
LU1859410786 Allianz Global Float Rate Notes Plus-AT3(H2CHF)CHF
3.81%
0.45%
LU1859410604 Allianz Global Float Rate Notes Pls-AT3(H2-EUR)EUR
3.81%
0.45%
LU1859410513 Allianz Global Floating Rate Notes Plus - AT3 -USD
3.81%
0.45%
LU1860909420 Allianz Global Floating Rate Notes Plus-RM10-USD
3.81%
0.45%
LU1859410356 Allianz Global Floating Rate Ns Pl-RT10(H2-CHF)CHF
3.81%
0.45%
LU1859410190 Allianz Global Floating Rate Ns Pl-RT10(H2-EUR)EUR
3.81%
0.45%
LU1859410430 Allianz Gl Floating Rate Note Plus-RT10(H2-GBP)GBP
3.81%
0.45%
LU1859409937 Allianz Global Floating Rate Notes Plus-RT10-USD
3.81%
0.45%
LU1873969643 Allianz Global Floating Rate Notes Pl-A3(H2EUR)EUR
3.81%
0.45%
LU1873969726 Allianz Global Floating Rate Notes Plus - A3 - USD
3.81%
0.45%
LU1865151887 Allianz Global Floating Rate Notes Pl-P(H2-GBP)GBP
3.81%
0.45%
LU1890836619 Allianz Global Floating Rate Nts Pl-AMg(H2-AUD)AUD
3.81%
0.45%
LU1914381675 Allianz Global Floating Rate Notes RM10 (H2-SGD)
3.81%
0.45%
LU1914381592 Allianz Global Floating Rate Notes RM10 (HKD)
3.81%
0.45%
LU1931925306 Allianz Global Floating Rate Notes Plus - AM (H2-AUD) - AUD
3.81%
0.45%
LU1931925561 Allianz Global Floating Rate N Plus AM(H2-NZD)NZD
3.81%
0.45%
LU1931925488 Allianz Global Floating Rate Notes Plus-AM-HKD
3.81%
0.45%
LU1934579084 Allianz Global Floating Rate Notes Plus - AM - USD
3.81%
0.45%
LU1931926536 Allianz Global Floating Rate Notes Plus-RT-EUR
3.81%
0.45%
LU1992137684 Allianz Global Floating Rate Notes Pls RT10(H2SEK)
3.81%
0.45%
LU1516273155 Allianz Global Multi-Asset Credit PT2 USD
3.84%
1.03%
LU1992137767 Allianz Global Floating Rate Notes PlusAT3(H2-SEK)
3.81%
0.45%
LU1992137254 Allianz Global Floating Rate Notes Pls AT3(H2-DKK)
3.81%
0.45%
LU1992137171 Allianz Global Floating Rate Notes Pl RT10(H2-DKK)
3.81%
0.45%
LU1992135472 Allianz Global Intelligent Cities AT (HKD)
19.03%
0.57%
LU1992135399 Allianz Global Intelligent Cities AT (USD)
19.03%
0.57%
LU2049825206 Allianz Global High Yield AMg (H2-SGD)
4.84%
1.03%
LU1652854842 Allianz Global Multi-Asset Credit - RT (H2-EUR)EUR
3.84%
1.03%
LU1685827146 Allianz Global Multi-Asset Credit - RT - USD
3.84%
1.03%
LU1516273239 Allianz Global Multi-Asset Credit - PT2 (H2-EUR)
3.84%
1.03%
LU0766462104 Allianz Income and Growth - A (H2-EUR) - EUR
11.34%
1.10%
LU0820562030 Allianz Income and Growth - AM (H2-AUD) - AUD
11.34%
1.10%
LU0820561818 Allianz Income and Growth - AM - USD
11.34%
1.10%
LU0820561909 Allianz Income and Growth AM HKD D
11.34%
1.10%
LU0820562113 Allianz Income and Growth AM H2-CAD
11.34%
1.10%
LU0820562386 Allianz Income and Growth - AM (H2-GBP) - GBP
11.34%
1.10%
LU0913601281 Allianz Income and Growth - AM (H2-EUR) - EUR
11.34%
1.10%
LU0820562469 Allianz Income and Growth AM H2-RMB D
11.34%
1.10%
LU0943347566 Allianz Income and Growth AM H2-SGD D
11.34%
1.10%
LU0964807845 Allianz Income and Growth - A - USD
11.34%
1.10%
LU0994605391 Allianz Income and Growth AM (H2-NZD) - NZD
11.34%
1.10%
LU1192664248 Allianz Income and Growth - AM (H2-ZAR) - ZAR
11.34%
1.10%
LU1551013342 Allianz Income and Growth - AMg2 - USD
11.34%
1.10%
LU1551013425 Allianz Income and Growth - AMg2 (H2-SGD) - SGD
11.34%
1.10%
LU1145028129 Allianz Income and Growth - AQ - USD
11.34%
1.10%
LU1145024482 Allianz Income and Growth - AQ (H2-EUR) - EUR
11.34%
1.10%
LU1597252433 Allianz Income and Growth - AMg2 (H2AUD)AUD
11.34%
1.10%
LU1597252862 Allianz Income and Growth - AMg2 (H2-CAD)CAD
11.34%
1.10%
LU1597252607 Allianz Income and Growth - AMg2 (H2-GBP)GBP
11.34%
1.10%
LU1597253084 Allianz Income and Growth - AMg2 (H2-RMB)CNY
11.34%
1.10%
LU1629891620 Allianz Income and Growth - AMg2 - HKD
11.34%
1.10%
LU1861127170 Allianz Income and Growth - AM (H2-JPY) - JPY
11.34%
1.10%
LU2023250413 Allianz Income and Growth AMg7 (H2-AUD)
11.34%
1.10%
LU2023250330 Allianz Income and Growth AMg7 (USD)
11.34%
1.10%
LU0689472784 Allianz Income and Growth - AT - USD
11.34%
1.10%
LU0739342060 Allianz Income and Growth - CT (H2-EUR) - EUR
11.34%
1.10%
LU0758899339 Allianz Income and Growth PM H2-GBP D
11.34%
1.10%
LU1015032169 Allianz Income and Growth - P - EUR
11.34%
1.10%
LU1046250293 Allianz Income and Growth - P - USD
11.34%
1.10%
LU1050568937 Allianz Income and Growth - P (H2-EUR) - EUR
11.34%
1.10%
LU1056556225 Allianz Income and Growth - PM - USD
11.34%
1.10%
LU1070113664 Allianz Income and Growth - AT (H2-EUR) - EUR
11.34%
1.10%
LU1129901515 Allianz Income and Growth - CM - USD
11.34%
1.10%
LU1136180780 Allianz Income and Growth - RM (H2-GBP) - GBP
11.34%
1.10%
LU1255916394 Allianz Income and Growth - RM (H2-EUR) - EUR
11.34%
1.10%
LU1255915743 Allianz Income and Growth - RM - HKD
11.34%
1.10%
LU1255915826 Allianz Income and Growth - RM - USD
11.34%
1.10%
LU1255915586 Allianz Income and Growth - RT - USD
11.34%
1.10%
LU1291192091 Allianz Income and Growth - RT (H2-EUR)
11.34%
1.10%
LU1255915669 Allianz Income and Growth - RM (H2-AUD) - AUD
11.34%
1.10%
LU1255916477 Allianz Income and Growth - RM (H2-CAD)
11.34%
1.10%
LU1255916121 Allianz Income and Growth RM H2-RMB
11.34%
1.10%
LU1255916048 Allianz Income and Growth RM (H2-SGD)
11.34%
1.10%
LU1269171986 Allianz Income and Growth - PT - USD
11.34%
1.10%
LU1627332817 Allianz Income and Growth - CT - USD
11.34%
1.10%
LU1981791087 Allianz Income and Growth - RM (H2-ZAR) - ZAR
11.34%
1.10%
LU2093595705 Allianz Income and Growth CMg2 (USD)
11.34%
1.10%
LU2093597826 Allianz Income and Growth RMg2 (USD)
11.34%
1.10%
DE0009757872 Uni21. Jahrhundert -net-
30.07%
1.32%
DE0008491051 UniGlobal
22.43%
0.98%
DE0009750273 UniGlobal -net-
21.73%
0.95%
LU0103246616 UniMarktfuehrer -net--A
21.68%
0.73%
LU0103244595 UniMarktfuehrer A
21.68%
0.73%
DE0009750075 UniNordamerika
18.07%
1.03%
LU0039632921 UniRenta Corporates A
13.81%
0.82%
DE0008491028 UniRenta
0.24%
0.24%
LU0101441672 UniSector: HighTech A
19.8%
4.61%
LU0126316180 UniValueFonds: Global -net- A
26.21%
1.46%
LU0126315885 UniValueFonds: Global A
26.21%
1.46%
LU0126316347 UniValueFonds: Global C
26.21%
1.46%
LU0152554803 LIGA-Pax-Cattolico-Union
19.83%
0.47%
DE000A0M80N0 UniGlobal I
22.43%
0.98%
LU0718610743 UniGlobal II A
22.07%
0.92%
DE000A1C81G1 UniGlobal Vorsorge
22.44%
0.96%
LU1557100556 UniRak Nordamerika A
14.87%
0.72%
LU1557100630 UniRak Nordamerika -net- A
14.87%
0.72%
LU1570401114 UniGlobal Dividende A
29.65%
2.12%
LU1570401544 UniGlobal Dividende net- A
29.65%
2.12%
DE0006352719 UniInstitutional Global Corporate Bonds
15.12%
0.49%
LU1282970497 UniRenta Corporates I
13.81%
0.82%
DE000A2DMVJ0 UniInstitutional Global Corporate Bonds+
17.79%
0.25%
DE000A2N7V14 UniInstitutional Global Corporate Bonds L
15.12%
0.49%
DE0009786277 Deka-Europa Potential CF
1.19%
0.24%
DE0009786285 Deka-Europa Potential TF
1.19%
0.24%
LU0107368036 Deka-BasisStrategie Renten CF
10.88%
0.25%
DE000DK2CDS0 Deka-DividendenStrategie CF A
28.94%
0.56%
LU1084635462 Deka-BasisStrategie Renten TF (A)
10.88%
0.25%
DE000DK2EAG7 Deka-BasisStrategie Aktien CF (A)
16.45%
0.69%
LU1138302986 Deka-USA Aktien Spezial I
15%
0.40%
LU1685588219 Deka-MultiFactor Global Corporates I
10.32%
0.46%
DE0005424584 Deka-BR 20
3.72%
0.05%
DE0005424543 Deka-BR 75
15.71%
0.22%
DE0005424519 Deka-BR 100
20.42%
0.29%
DE0005424550 Deka-BR 55
10.33%
0.14%
DE0005424527 Deka-BR 85
16.31%
0.25%
DE0005424576 Deka-BR 35
6.3%
0.10%
DE0007019333 Sigma Plus Balanced
15.1%
0.35%
DE0007019325 Sigma Plus Konservativ
13.65%
0.14%
LU0851807387 Deka-Globale Aktien LowRisk PB (A)
19.67%
0.08%
LU0851807460 Deka-Globale Aktien LowRisk I (A)
19.67%
0.08%
LU0040778739 Deka-BasisStrategie Renten TF
10.88%
0.25%
LU0006061385 BGF Global Government Bond A2 USD
1.45%
0.23%
LU0096258362 BGF US Dollar Bond A2 USD
3.72%
0.20%
LU0171283459 BGF Global Allocation A2 EUR
11.99%
0.12%
LU0184696937 BGF World Bond A2 USD
4.55%
0.19%
LU0212925753 BGF Global Allocation A2 EUR Hedged
11.99%
0.12%
LU0240613025 BGF Global Allocation A4 EUR Hedged
11.99%
0.12%
LU0408221512 BGF Global Allocation A4 EUR
11.99%
0.12%
LU0973708182 BGF Fixed Income Gbl Opportunities A4 EUR Hedged
1.96%
0.11%
LU0784383712 BGF Global Multi-Asset Income A4G EUR Hedged
5.02%
0.02%
LU1129851157 Fidelity Funds - Gl MA Income A-GDIST-EUR H
6.45%
0.03%
LU0727122938 Franklin Global Convertible Secs A (Ydis) EUR
12.4%
1.73%
LU0727123589 Franklin Global Convertible Secs A (Ydis) EUR-H1
12.4%
1.73%
LU1093756598 Franklin K2 Alternative Strategies A (Ydis) USD
3.54%
0.05%
LU1212701707 Franklin K2 Alternative Strategies A (Ydis) EUR-H1
3.54%
0.05%
LU0109392836 Franklin Technology A (acc) USD
18.24%
1.06%
LU0133266576 Goldman Sachs Global Fixed Income Pf E Acc EUR
3.45%
0.97%
LU0906949010 Goldman Sachs Glo Strat Inc Bond Pf OCS EUR-H
2%
1.01%
DE0009799064 Deka-Globale Aktien Strategie
18.69%
0.71%
DE0009786228 Deka-bAV Fonds
24.52%
0.32%
DE0005152623 Deka-Technologie CF
19.28%
1.91%
DE0005152631 Deka-Technologie TF
19.28%
1.91%
LU0064405334 DekaLux-USA TF
20.31%
0.65%
DE0008474669 DekaSpezial CF
23.13%
0.27%
DE0005152706 Deka-MegaTrends CF
17.8%
0.52%
LU0350093026 Deka-GlobalSelect CF
23.61%
0.78%
LU0350094933 Deka-GlobalSelect TF
23.61%
0.78%
DE000DK1A408 DekaSpezial TF
23.13%
0.27%
LU0851806900 Deka-Globale Aktien LowRisk CF (A)
19.67%
0.08%
LU1138302630 Deka-USA Aktien Spezial CF
15%
0.40%
LU1508359509 Deka-Industrie 4.0 CF
18.42%
2.16%
LU1508360002 Deka-Industrie 4.0 TF
18.42%
2.16%
LU0572952280 Janus Henderson HF Global Technology A2 EUR
14.96%
2.12%
LU0289470113 JPM Income Opportunity A (perf) Acc EUR Hgd
2.54%
0.03%
LU0395794307 JPM Global Income A Div EUR
9.01%
0.07%
LU0840466477 JPM Global Income A Dis EUR
9.01%
0.07%
LU1039371676 JPM Global Bond Opps A Dis EUR Hgd
4.37%
0.07%
LU1182913019 JPM Income Opportunity A (perf) Dis EUR Hgd
2.54%
0.03%
LU1458463152 JPM Global Income Conservative A Dis EUR
4.95%
0.07%
LU1458463236 JPM Global Income Conservative A Div EUR
4.95%
0.07%
LU0106261372 Schroder ISF US Large Cap A Acc
8%
0.95%
LU0757360960 Schroder ISF Global Multi-Asset Inc A Dis EUR H QV
8.06%
0.68%
GB00B1FQY071 Threadneedle Global Bond Retail Gross Acc EUR
1.68%
0.88%
LU1815336760 Threadneedle (Lux)-Global Technology AUP
23.92%
5.09%
LU1829331633 Threadneedle (Lux)-Credit Opportunities 1E
8.13%
0.49%
LU1868836591 Threadneedle (Lux)-American 1U
23.12%
1.65%
DE0008488214 UBS (D) Equity Fund - Global Opportunity
18.65%
1.22%
LU0071006638 UBS (Lux) Bond Fund - Global Flexible (CHF) P-acc
2.74%
0.06%
LU0151774972 UBS (Lux) Bond S - Short Term USD Corp (USD) P-a
11.94%
0.98%
DE000ETFL094 Deka MSCI USA LC UCITS ETF
22.82%
0.50%
DE000ETFL268 Deka MSCI USA UCITS ETF
20.59%
0.43%
DE000ETFL508 Deka MSCI World UCITS ETF
21.34%
0.27%
LU1249492031 DWS Invest Multi Credit FCH
7.8%
0.88%
LU1249492114 DWS Invest Multi Credit LDH
7.8%
0.88%
LU1249492387 DWS Invest Multi Credit USD FC
7.8%
0.88%
LU1249492460 DWS Invest Multi Credit USD LD
7.8%
0.88%
LU1717101973 DWS Invest Multi Credit USD XC
7.8%
0.88%
LU1663932645 DWS Invest Multi Credit TFDH
7.8%
0.88%
IE00BGV5VN51 Xtrackers Artific Intellig and BigDataUCITS ETF 1C
4.29%
0.94%
IE00BM67HJ62 Xtrackers FTSE All-World ex UK UCITS ETF
19.7%
0.24%
IE00BGHQ0G80 Xtrackers MSCI AC World UCITS ETF
20.29%
0.24%
IE00BH361H73 Xtrackers MSCI NAmerica High Div Yield UCITS ETF
28.57%
1.54%
IE00BJ0KDR00 Xtrackers MSCI USA UCITS ETF 1C
21.48%
0.42%
IE00BDB7J586 Xtrackers MSCI USA Minimum Volatility UCITS ETF 1D
21.74%
0.20%
IE00BGQYRS42 Xtrackers MSCI USA Information Tech UCITS ETF 1D
11.14%
1.71%
IE00BG04M077 Xtrackers MSCI USA UCITS ETF 2C-EUR hedged
21.48%
0.42%
IE00BG04LZ52 Xtrackers MSCI USA UCITS ETF 3C-CHF hedged
21.48%
0.42%
IE00BLNMYC90 Xtrackers S&P 500 Equal Weight UCITS ETF
18.12%
0.19%
IE00BJ0KDQ92 Xtrackers MSCI World UCITS ETF
21.72%
0.26%
IE00BK1PV551 Xtrackers MSCI World UCITS ETF 1D
21.72%
0.26%
IE00BM67HW99 db x-trackers S&P 500 UCITS ETF(DR)1C EUR Hgd
23.52%
0.45%
IE00BM67HX07 Xtrackers S&P 500 UCITS ETF 2C HGBP
23.52%
0.45%
IE00B8KMSQ34 Xtrackers S&P 500 UCITS ETF 3C HCHF
23.52%
0.45%
IE00BM67HT60 Xtrackers MSCI World Information Tech UCITS ETF 1C
12.56%
1.46%
IE00BCHWNQ94 Xtrackers MSCI World High Dividend Yield UCITS ETF
29.43%
1.29%
IE00BGJWX091 Xtrackers S&P 500 UCITS ETF 1D HEUR
23.52%
0.45%
IE00BZ036H21 db x-trackers USD Corporate Bond UCITS ETF (DR)1D
14.69%
0.58%
IE00BZ036J45 db x-tr.USD Corporate Bond UCITS ETF(DR)2D EUR Hgd
14.69%
0.58%
IE00BF8J5974 Xtrackers iBoxx USD Corp Bd Yld Pls UCITS ETF 1D
13.83%
0.98%
IE00BFMKQ930 Xtrackers iBoxxUSD CorpBd YldPls UCITS ETF 2C Ehdg
13.83%
0.98%
LU1769942829 DWS Invest CROCI US Dividends USD LD
25.95%
2.45%
LU1769940708 DWS Invest CROCI World IC
31.36%
0.94%
LU1769940880 DWS Invest CROCI World ID
31.36%
0.94%
LU1769941003 DWS Invest CROCI World LC
31.36%
0.94%
LU1769941185 DWS Invest CROCI World USD IC
31.36%
0.94%
LU1769941268 DWS Invest CROCI World USD LC
31.36%
0.94%
LU1769942407 DWS Invest CROCI US Dividends TFC
25.95%
2.45%
LU1769942589 DWS Invest CROCI US Dividends USD IC
25.95%
2.45%
LU1769942662 DWS Invest CROCI US Dividends USD ID
25.95%
2.45%
LU1769942746 DWS Invest CROCI US Dividends USD LC
25.95%
2.45%
LU1863263932 DWS Invest Artificial Intelligence XC
10.75%
1.19%
LU1863263858 DWS Invest Artificial Intelligence TFC
10.75%
1.19%
LU1863263429 DWS Invest Artificial Intelligence LD
10.75%
1.19%
LU1863263346 DWS Invest Artificial Intelligence LC
10.75%
1.19%
LU1863263262 DWS Invest Artificial Intelligence FC
10.75%
1.19%
LU1914383960 DWS Invest Artificial Intelligence NC
10.75%
1.19%
LU1885668126 DWS Invest Artificial Intelligence USD FC
10.75%
1.19%
LU1885668399 DWS Invest Artificial Intelligence USD LC
10.75%
1.19%
LU1982200518 DWS Invest Artificial Intelligence TFCH (P)
10.75%
1.19%
LU1902608444 DWS Invest CROCI World TFC
31.36%
0.94%
LU1949850454 DWS Invest CROCI US Dividends USD IC50
25.95%
2.45%
DE0009769901 Gottlieb Daimler Aktienfonds DWS
17.91%
0.64%
LU1466077648 Zurich Global Equity
17.73%
0.08%
LU0360863863 ARERO - Der Weltfonds
10.34%
0.07%
LU0791195471 DWS Multi Asset Income Kontrolliert
13.81%
0.11%
LU1054320970 DWS Invest Multi Asset Income LD
8.76%
0.07%
LU1054321192 DWS Invest Multi Asset Income ND
8.76%
0.07%
LU1054320897 DWS Invest Multi Asset Income LC
8.76%
0.07%
LU1186218753 DWS Invest Multi Asset Income NC
8.76%
0.07%
LU1186220148 DWS Invest Multi Asset Income FC
8.76%
0.07%
LU1663932561 DWS Invest Multi Asset Income TFD
8.76%
0.07%
LU1769944361 DWS Invest Multi Asset Income LDH (P)
8.76%
0.07%
DE0008474149 DWS Technology Typ O ND
8.06%
2.79%
LU1935133790 DWS Invest ESG Multi Asset Defensive LD ESG-Eigenlabel
4.6%
0.28%
LU1935133956 DWS Invest ESG Multi Asset Defensive ND ESG-Eigenlabel
4.6%
0.28%
LU2098861896 DWS Invest ESG Multi Asset Defensive LC ESG-Eigenlabel
4.6%
0.28%
LU2098862191 DWS Invest ESG Multi Asset Defensive NC ESG-Eigenlabel
4.6%
0.28%
LU1333038393 DWS Invest ESG USD Corporate Bonds FCH ESG-Eigenlabel
5.39%
0.45%
LU1333039011 DWS Invest ESG USD Corporate Bonds XCH ESG-Eigenlabel
5.39%
0.45%
LU1333038807 DWS Invest ESG USD Corporate Bonds LD ESG-Eigenlabel
5.39%
0.45%
LU1333038989 DWS Invest ESG USD Corporate Bonds USD XC ESG-Eigenlabel
5.39%
0.45%
LU1333038633 DWS Invest ESG USD Corporate Bonds USD FC ESG-Eigenlabel
5.39%
0.45%
LU1333038476 DWS Invest ESG USD Corporate Bonds LCH ESG-Eigenlabel
5.39%
0.45%
LU1663958368 DWS Invest ESG USD Corporate Bonds TFCH ESG-Eigenlabel
5.39%
0.45%
LU1663959333 DWS Invest ESG USD Corporate Bonds USD TFC ESG-Eigenlabel
5.39%
0.45%
LU1663959507 DWS Invest ESG USD Corporate Bonds USD TFD ESG-Eigenlabel
5.39%
0.45%
IE00B62WG306 iShares Developed World Index Inst Acc USD
21.69%
0.28%
IE00B62NV726 iShares Developed World Index Inst Dist EUR
21.69%
0.28%
IE00B62WCL09 iShares Developed World Index Inst Acc EUR
21.69%
0.28%
IE00B1W56L25 iShares North America Index Inst Dist USD
20.7%
0.42%
IE00B1W4R501 iShares US Corporate Bond Index Inst USD Acc
11.71%
0.42%
IE00B1W56K18 iShares North America Index Inst Acc USD
20.7%
0.42%
IE00B62C5H76 iShares Developed World Index Inst Acc GBP
21.69%
0.28%
IE00B78CT216 iShares North America Index Inst Acc EUR
20.7%
0.42%
IE00B62NX656 iShares Developed World Index Inst Dist USD
21.69%
0.28%
IE00B44CGS96 iShares US Aggregate Bond UCITS ETF USD (Dist)
2.68%
0.10%
IE0032895942 iShares $ Corp Bond UCITS ETF USD Dist
14.82%
0.57%
IE00B6R52259 iShares MSCI ACWI UCITS ETF USD (Acc)
19.86%
0.23%
IE00B7J7TB45 iShares Global Corp Bond UCITS ETF USD (Dist)
13.55%
0.26%
IE0031442068 iSharesCore S&P 500 UCITS ETF USD(Dist)
22.73%
0.44%
IE00B0M62Q58 iShares MSCI World UCITS ETF USD (Dist)
21.63%
0.27%
DE000A0F5UF5 iShares NASDAQ-100® UCITS ETF (DE)
24.23%
1.19%
IE00B14X4M10 iShares MSCI North America UCITS ETF USD (Dist)
20.68%
0.40%
IE00B4L5Y983 iShares Core MSCI World UCITS ETF USD (Acc)
21.58%
0.27%
IE00B3ZW0K18 iShares S&P 500 EUR Hedged UCITS ETF (Acc)
22.53%
0.44%
IE00B42YS929 iShares MSCI World GBP Hedged UCITS ETF (Acc)
21.55%
0.27%
IE00B441G979 iShares MSCI World EUR Hedged UCITS ETF (Acc)
21.57%
0.27%
IE00B52SFT06 iShares MSCI USA UCITS ETF USD (Acc)
21.14%
0.42%
IE00B53SZB19 iShares NASDAQ 100 UCITS ETF USD (Acc)
24.22%
1.19%
IE00B5BMR087 iShares Core S&P 500 UCITS ETF USD (Acc)
22.72%
0.44%
IE00BCRY5Y77 iShares $ ShortDurationCorpBond UCITS ETF USD Dist
13.55%
0.64%
IE00BCLWRB83 iShares $CorpBdInterestRateHgd UCITS ETF USD(Dist)
13.68%
0.58%
IE00B9M6SJ31 iShares Global Corp Bond EUR Hgd UCITS ETF(Dist)
13.39%
0.27%
IE00BFG1TS24 iShares DevelopedWorld exTobacco Idx GBP Inst Dist
20.73%
0.28%
LU1055041369 iShares World Equity Index Fund (LU) F2 EUR
21.47%
0.29%
IE00BKM4H312 iShares MSCI USA Qlty Dividend UCITS ETF USD Dis
30.65%
1.56%
IE00BFG1TM61 iShares DevelopedWorld ex Tobacco Idx EUR Inst Acc
20.73%
0.28%
IE00B3WJKG14 iShares S&P 500 Inf Tech Sector UCITS ETF USD(Acc)
11.32%
1.76%
LU1396764083 iShares World Equity Index Fund (LU) F2 GBP
21.47%
0.29%
IE00BD575G75 iShares North America Index D Acc EUR
20.7%
0.42%
IE00BDQZ5152 iShares $ Intermediate CreditBond UCITSETF USD Dis
11.2%
0.56%
IE00BYXYYM63 iShares US Aggregate Bond UCITS ETF USD Acc
2.68%
0.10%
IE00BYXYYP94 iShares $ Short Duration Corp Bd UCITS ETF USD Acc
13.55%
0.64%
IE00BYXYYJ35 iShares $ Corp Bond UCITS ETF USD Acc
14.82%
0.57%
IE00BD575K12 iShares North America Index USD D Acc
20.7%
0.42%
IE00BD0NC706 iShares US Corporate Bond Index D USD Acc
11.71%
0.42%
IE00BD0NCM55 iShares Developed World Index EUR D Acc
21.69%
0.28%
IE00BD0NCL49 iShares Developed World Index GBP D Acc
21.69%
0.28%
IE00BD0NCN62 iShares Developed World Index USD D Acc
21.69%
0.28%
IE00BYYHSQ67 iShares MSCI World QualityDiv UCITS ETF USD Dist
28.9%
1.26%
IE00BYZ8K175 iShares DevelopedWorld ex-Tobacco Idx D USD Acc
20.73%
0.28%
IE00BYZ8K068 iShares DevelopedWorld ex-Tobacco Idx D GBP Inc
20.73%
0.28%
IE00BF3N6Z78 iShares Global Corp Bond UCITS ETF USD Hedged Acc
13.55%
0.26%
IE00BF2MW460 iShares Gl Aggrt 1-5Year Bd Idx(IE)D USD Hgd Dist
2.52%
0.04%
IE00BF2MW791 iShares Gl Aggrt 1-5Year Bd Idx(IE)Inst USDHgdDist
2.52%
0.04%
IE00BF3N6Y61 iShares $ Corp Bond UCITS ETF EUR Hgd Dist
14.82%
0.57%
IE00BDZRPS94 iShares US Corporate Bond Index D EUR Acc
11.71%
0.42%
IE00BZ043R46 iShares Core Glb Aggrt Bd UCITS ETF USD Hdg Acc
2.43%
0.06%
IE00BF540Y54 iShares Core Glb Aggregate Bd GBP ETF Hgd Dist
2.43%
0.06%
IE00BDBRDM35 iShares Core Glbl Aggrt Bond UCITS ETF EUR Hgd Acc
2.43%
0.06%
IE00BF2MW353 iShares Gl Aggrt 1-5Year Bd Idx(IE) D USD Dist
2.52%
0.04%
IE00BF2MW577 iShares Gl Aggrt 1-5Year Bd Idx(IE)D GBP Hgd Dist
2.52%
0.04%
IE00BF2MW684 iShares Gl Aggrt 1-5Year Bd Idx(IE)D EUR Hgd Dist
2.52%
0.04%
IE00B3F81409 iShares Core Glb Aggregate Bd UCITS ETF USD Dist
2.43%
0.06%
LU1722863641 iShares North America Equity Index Fd (LU) D2 USD
20.44%
0.44%
IE00BDFJYM28 iShares US Aggregate Bond UCITS ETF EUR Hgd Acc
2.68%
0.10%
LU1811363917 iShares North America Equity Index Fd (LU) D2 EUR
20.44%
0.44%
LU1811364055 iShares World Equity Index Fund (LU) D2 USD
21.47%
0.29%
IE00BFM6TB42 iShares Global Corporate Bond UCITS ETF USD Acc
13.55%
0.26%
IE00BFG1TN78 iShares Developed Wld ex Tobacco Idx Inst Acc USD
20.73%
0.28%
IE00BZ173W74 iShares$CorpBondInterestRate Hgd UCITS ETF USD Acc
13.68%
0.58%
IE00BFX1VJ00 iShares Gl Aggrt1-5Year BdIdx(IE)Inst D GBP H Dist
2.52%
0.04%
IE00BFX1VK15 iShares Gl Aggrt1-5Year BdIdx(IE)Inst D EUR H Dist
2.52%
0.04%
IE00BYVQ9F29 iShares NASDAQ 100 UCITS ETF EUR Hgd Acc
24.22%
1.19%
IE00BFNM3J75 iShares MSCI World ESG Screened UCITS ETF USD Acc ESG-Eigenlabel
18.03%
0.29%
IE00BFNM3K80 iShares MSCI World ESG Screened UCITS ETF USD Dist ESG-Eigenlabel
18.03%
0.29%
IE00BFNM3H51 iShares MSCI USA ESG Screened UCITS ETF USD Inc ESG-Eigenlabel
18.16%
0.45%
IE00BFNM3G45 iShares MSCI USA ESG Screened UCITS ETF USD Acc ESG-Eigenlabel
18.16%
0.45%
IE00BGL88775 iShares Developed World Index D GBP Hdg Dist
21.69%
0.28%
IE00BHZPJ569 iShares MSCI World ESG Enhanced UCITS ETF USD Acc ESG-Eigenlabel
16.24%
0.15%
IE00BHZPJ890 iShares MSCI USA ESG Enhanced UCITS ETF USD (Dist) ESG-Eigenlabel
17.4%
0.22%
IE00BHZPJ908 iShares MSCI USA ESG Enhanced UCITS ETF USD (Acc) ESG-Eigenlabel
17.4%
0.22%
LU0836512615 iShares World Equity Index Fund (LU) A2 USD
21.47%
0.29%
LU0836515477 iShares World Equity Index Fund (LU)F2 USD
21.47%
0.29%
LU0836513001 iShares North America Equity Index Fd (LU) A2 USD
20.44%
0.44%
LU0836514405 iShares North America Equity Index Fd (LU) N2 USD
20.44%
0.44%
LU0836515808 iShares North America Equity Index Fd (LU) F2 USD
20.44%
0.44%
LU0852472983 iShares World Equity Index Fund (LU) N7 EUR
21.47%
0.29%
LU0852473015 iShares World Equity Index Fund (LU)N2 EUR
21.47%
0.29%
LU0852473445 iShares North America Equity Index Fd (LU) N7 EUR
20.44%
0.44%
LU0875157702 iShares World Equity Index Fund (LU)D2 EUR
21.47%
0.29%
IE00B62HNT07 iShares Developed World Index Inst Dist GBP
21.69%
0.28%
IE00BG11HV38 iShares MSCI World ESG Enhanced UCITS ETF USD Dist ESG-Eigenlabel
16.24%
0.15%
IE00BJSFQW37 iShares Global Corp Bond UCITS ETF EUR Hgd Dis
13.55%
0.26%
IE00BJ5JNY98 iShares MSCI World Inf Tech Sect UCITS ETF USD Dis
12.07%
1.40%
IE00BKBF6H24 iShares Core MSCI World UCITS ETF EUR Hdg Dist
21.58%
0.27%
IE00BFYB7576 iShares Gl Aggrt 1-5 Year Bd Idx Inst CHF Hdg Dist
2.52%
0.04%
IE00BJ023R69 iShares Developed World Index Inst Acc EUR Hedged
21.69%
0.28%
LU2060767121 iShares World Equity Index Fund (LU) I2 USD
21.47%
0.29%
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9.78%
0.94%
LU0139792278 Sparinvest-Procedo EUR R
10.37%
0.01%
DE0008023565 Fonds fuer Stiftungen INVESCO ESG-Eigenlabel
5.35%
0.50%
LU1602144229 Amundi Index Equity Global Low Carbon UCTS ETFD-EC ESG-Eigenlabel
16.66%
0.29%
LU1602144492 Amundi Index Equity Global Low Carbon UCITS ETF-UC ESG-Eigenlabel
16.66%
0.29%
LU1806495575 Amundi Index US Corp SRI UCITS ETF DR C ESG-Eigenlabel
9.47%
0.44%
IE00BJQRDK83 Invesco MSCI World ESG Unvsl Screened UCITS ETF ESG-Eigenlabel
16.19%
0.12%
IE00BJQRDM08 Invesco MSCI USA ESG Universal Screened UCITS ETF ESG-Eigenlabel
17.08%
0.21%
LU2056739464 Lyxor MSCI World Climate Change (DR) UCITS ETF Acc ESG-Eigenlabel
16.67%
0.28%