DWS Invest Multi Opportunities

86,16
0,72%
28/06/2022
Riesgo
4/7
ISIN
LU1054322083
Patrimonio
383,5M€
Rentabilidad YTD
-7,64%

Estrategia de inversión

The objective of the investment policy is to achieve an above-average return. In order to achieve this, the fund invests at least 51% in shares in other funds. Up to 20% may be invested in asset backed securities and mortgage backed securities. The fund distributes monthly.

Comisiones

Front Load
0.00%
Management Fee
1.20%
On Going Charge
1.24%
Redemption Fee
0.00%
Total Expense Ratio
1.33%

Otras clases

Nombre ISIN Comisión
DWS Invest Multi Opportunities EUR NDQ LU1054321861 1,70 %
DWS Invest Multi Opportunities EUR LC LU1054321358 1,30 %
DWS Invest Multi Opportunities EUR NC LU1054321606 1,70 %
DWS Invest Multi Opportunities EUR LDQ LU1054321515 1,30 %
DWS Invest Multi Opportunities USD RDMH LU1433454672 0,60 %
DWS Invest Multi Opportunities USD LCH LU1196394099 1,30 %
DWS Invest Multi Opportunities EUR FC LU1054322166 0,75 %
DWS Invest Multi Opportunities USD LDMH LU1254146647 1,30 %
DWS Invest Multi Opportunities SGD LDMH LU1196386152 1,30 %
DWS Invest Multi Opportunities EUR PFDQ LU1054322083 1,20 %
DWS Invest Multi Opportunities HKD LDMH LU1230072123 1,30 %
DWS Invest Multi Opportunities EUR PFC LU1054321945 1,20 %
DWS Invest Multi Opportunities AUD LDMH LU1254146217 1,30 %
DWS Invest Multi Opportunities EUR LD LU1254146563 1,30 %
DWS Invest Multi Opportunities AUD LCH LU1196385774 1,30 %
DWS Invest Multi Opportunities EUR TFC LU1663932728 0,75 %
DWS Invest Multi Opportunities SEK LCH LU1289020312 1,30 %
DWS Invest Multi Opportunities USD FCH LU1224427564 0,75 %
DWS Invest Multi Opportunities EUR FD LU1254146480 0,75 %
DWS Invest Multi Opportunities RMB LDMH LU1289539220 1,30 %
DWS Invest Multi Opportunities GBP CH RD LU1220887316 0,75 %
DWS Invest Multi Opportunities USD TFCH LU1663933882 0,75 %
DWS Invest Multi Opportunities EUR TFD LU1663932991 0,75 %

Rentabilidad por períodos

Período
Acumulada
Anualizada
Año actual
-7,64% -
30 días
-1,93% -
6 meses
-7,72% -
12 meses
-3,58% -
2 años
8,30% 4,07%
3 años
3,69% 1,21%
5 años
1,46% 0,29%

Rentabilidad por trimestres

Año T1 T2 T3 T4
2014 - - - 5,39% 1,88%
2015 -1,56% 6,25% -1,53% -7,42% 1,63%
2016 5,45% -1,03% 1,73% 1,90% 2,79%
2017 -1,74% 2,17% -1,80% -1,25% -0,82%
2018 -7,29% -2,89% 2,58% -0,61% -6,37%
2019 13,07% 6,51% 1,51% 2,03% 2,50%
2020 -4,39% -16,12% 9,05% 0,92% 3,57%
2021 12,29% 3,74% 3,78% 0,41% 3,87%

Rentabilidad mensual

Rentabilidad de los últimos 12 meses

Cartera

#
Posición
Peso
Valor
1
DWS ESG Dynamic Opportunities SC
18,71%
74.674.956€
2
DWS Concept Kaldemorgen IC100
18,47%
73.705.982€
3
THEAM Quant-Cross Asset Hi Foc M EUR Cap
7,46%
29.769.475€
4
Xtrackers IE Physical Gold ETC
7,04%
28.093.309€
5
DWS Invest Credit Opportunities FC EUR
4,39%
17.523.460€
6
Deutsche Telekom AG
1,89%
7.538.939€
7
Microsoft Corp
1,61%
6.437.028€
8
DWS Invest Global Bonds IC
1,56%
6.244.266€
9
5 Year Treasury Note Future June 22
1,51%
6.029.436€
10
Kreditanstalt Fur Wiederaufbau 0.25% 0.25%
1,45%
5.773.729€

Principales 10 posiciones en cartera

Categoría

Top DWS Invest Multi Opportunities frente a su categoría

Documentos

Documento
Última actualización
Prospectus
20/01/2022
Factsheet
15/01/2022
SemiannualReport
21/01/2022
Key Investor Information Document (KIID)
28/03/2021
AnnualReport
21/01/2022
Rulebook
19/01/2022

Divisas

Materias primas

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