DWS Fixed Maturity Multi Asset 2026 Fonds
				
					
						110,18
					
					EUR
				
				
					
						+0,01
					
					EUR
				
				
					
						+0,01
					
					%
				
			
			NAV
							
						
                            
        Werbung
    
                        
                            
                                
                            
                        
                    
                Zusammensetzung nach Ländern
Chart
						Tabelle
				| Name | Anteil | 
|---|---|
| Germany | 12,46% | 
| France | 11,58% | 
| Supranational | 11,46% | 
| Spain | 5,57% | 
| Belgium | 5,21% | 
| United States | 2,90% | 
| Canada | 1,89% | 
| Finland | 1,78% | 
| United Kingdom | 1,40% | 
| Netherlands | 0,87% | 
| Australia | 0,79% | 
| Sweden | 0,60% | 
| Denmark | 0,54% | 
| Italy | 0,53% | 
| Japan | 0,25% | 
| Switzerland | 0,24% | 
| Norway | 0,07% | 
| Luxembourg | 0,05% | 
| Ireland | 0,04% | 
| Austria | 0,00% | 
| Mexico | 0,00% | 
| Romania | 0,00% | 
| North Macedonia | 0,00% | 
| South Africa | 0,00% | 
| Panama | 0,00% | 
| Czechia | 0,00% | 
| Poland | 0,00% | 
| Montenegro | 0,00% | 
| United Arab Emirates | 0,00% | 
| Morocco | 0,00% | 
| Colombia | 0,00% | 
| Turkey | 0,00% | 
| Peru | 0,00% | 
| Serbia | 0,00% | 
| New Zealand | 0,00% | 
| Philippines | 0,00% | 
| Chile | 0,00% | 
| Israel | 0,00% | 
| South Korea | 0,00% | 
| Hungary | 0,00% | 
| Indonesia | 0,00% | 
| Ukraine | 0,00% | 
| Bulgaria | 0,00% | 
| Argentina | 0,00% | 
| Greece | 0,00% | 
| Lithuania | 0,00% | 
| Singapore | 0,00% | 
| Nigeria | 0,00% | 
| Sonstige | 41,75% | 
 
                                