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Deka Eurozone Rendite Plus 1-10 UCITS ETF | ![]() |
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Handelsdaten |
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ETF Infos | ||||||||
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INDEX | ![]() |
Solactive Eurozone Rendite Plus 1-10 Bond Index | ![]() |
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STRUKTUR | ![]() |
voll replizierend | ![]() |
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INDEXANBIETER | ![]() |
Solactive | ![]() |
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ERTRÄGE | ![]() |
ausschüttend | ![]() |
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INDEXTYP | ![]() |
Preis-Index | ![]() |
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BENCHMARK | ![]() |
100% Solactive Eurozone Rendite Plus 1-10 Bond Index | ![]() |
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FONDSVOLUMEN | ![]() |
36,10 Mio. EUR | ![]() |
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Indexbeschreibung The Solactive Eurozone Rendite Plus 1-10 Bond Index is a rules-based, market value weighted index engineered to mirror the performance of the higher yielding segment of Eurozone investment grade government bonds. |
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Börsenplätze | |||||||||||||
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BÖRSENPLATZ | ![]() |
KURS DIFF. ABS. / REL. |
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VOLUMEN STÜCKE |
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GELD STÜCKE |
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BRIEF STÜCKE |
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Berlin |
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80,804
EUR
-0,116 EUR / -0,14% |
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0,00
EUR
0 Stk. |
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0,00 EUR
n.v. Stk. |
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0,00 EUR
n.v. Stk. |
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Stuttgart FXplus |
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80,895
EUR
0,075 EUR / 0,09% |
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0,00
EUR
0 Stk. |
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0,00 EUR
0 Stk. |
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0,00 EUR
0 Stk. |
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Düsseldorf |
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80,72
EUR
-0,09 EUR / -0,11% |
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0,00
EUR
0 Stk. |
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0,00 EUR
n.v. Stk. |
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0,00 EUR
n.v. Stk. |
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Frankfurt |
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80,938
EUR
0,060 EUR / 0,07% |
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0,00
EUR
0 Stk. |
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0,00 EUR
n.v. Stk. |
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0,00 EUR
n.v. Stk. |
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Tradegate |
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80,793
EUR
-0,142 EUR / -0,18% |
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n.v.
EUR
0 Stk. |
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80,66 EUR
300 Stk. |
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80,93 EUR
300 Stk. |
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Xetra |
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80,874
EUR
0,000 EUR / 0,00% |
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404,37
EUR
5 Stk. |
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0,00 EUR
n.v. Stk. |
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0,00 EUR
n.v. Stk. |
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Lang & Schwarz Exchange |
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80,706
EUR
-0,158 EUR / -0,20% |
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n.v.
EUR
0 Stk. |
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80,71 EUR
12 Stk. |
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80,88 EUR
12 Stk. |
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München |
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80,748
EUR
-0,118 EUR / -0,15% |
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0,00
EUR
0 Stk. |
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0,00 EUR
n.v. Stk. |
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0,00 EUR
n.v. Stk. |
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Stuttgart |
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80,72
EUR
-0,09 EUR / -0,11% |
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0,00
EUR
0 Stk. |
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0,00 EUR
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0,00 EUR
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Kursstellung im Direkthandel (realtime) | |||||||||
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GELD / STÜCKE | ![]() |
BRIEF / STÜCKE | ![]() |
DATUM | ![]() |
UHRZEIT | ![]() |
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Lang & Schwarz
![]() | ![]() | 80,71 EUR 12 Stk. | ![]() | 80,88 EUR 12 Stk. |
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30.11.23 | ![]() |
22:59:10 | ![]() |
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Baader
![]() | ![]() | 80,63 EUR 250 Stk. | ![]() | 80,99 EUR 250 Stk. |
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30.11.23 | ![]() |
17:36:11 | ![]() |
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Kosten / Konditionen | ||||||||
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MANAGEMENTGEBÜHR P.A. | ![]() |
0,15% | ![]() |
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MINIMUMANLAGE | ![]() |
1 Stk. | ![]() |
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DEPOTBANKGEBÜHR P.A. | ![]() |
n.v. | ![]() |
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SPARPLAN | ![]() |
Ja | ![]() |
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TER P.A. | ![]() |
n.v. | ![]() |
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LETZTE AUSSCHÜTTUNG | ![]() |
0,35 EUR (10.10.2023) | ![]() |
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Anlagestrategie Der Fonds bildet die Performance des Solactive Eurozone Rendite Plus 1-10 Bond Index (Preisindex) nach. Der Index bildet das Segment europäischer Staatsanleihen ab und besteht aus Einzelwerten von 6 Ländern der Eurozone mit der höchsten 5-Jahresrendite. Die einzelnen Staatsanleihen verfügen über ein Investment-Grade-Rating und eine Restlaufzeit von 1-10 Jahren. Zudem liegt die maximale Gewichtung je Land bei 20%. Der Index wird mit den jeweiligen im Index befindlichen Wertpapieren abgebildet (volle Replikation). |
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Wertentwicklung in Fondswährung | ![]() |
Wertentwicklung monatlich Fonds / Sektor | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
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Wertentwicklung in EUR im Vergleich zum Sektor "Rentenfonds Staatsanleihen gemischte Laufzeiten, Euroland, Euro" | ||||||||||||||||||
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1M | ![]() |
3M | ![]() |
6M | ![]() |
lfd. Jahr | ![]() |
1 Jahr | ![]() |
3 Jahre | ![]() |
5 Jahre | ![]() |
10 Jahre | ![]() |
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FONDS | ![]() |
+2,28% | ![]() |
+1,72% | ![]() |
+2,47% | ![]() |
+3,72% | ![]() |
+1,02% | ![]() |
-13,12% | ![]() |
-6,34% | ![]() |
n.v. | ![]() |
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BESTER FONDS | ![]() |
+5,20% | ![]() |
+1,72% | ![]() |
+4,00% | ![]() |
n.v. | ![]() |
+3,69% | ![]() |
-2,72% | ![]() |
+17,86% | ![]() |
+71,55% | ![]() |
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SEKTOR-⌀ | ![]() |
+3,24% | ![]() |
+1,28% | ![]() |
+2,19% | ![]() |
+2,99% | ![]() |
-1,26% | ![]() |
-17,42% | ![]() |
-9,06% | ![]() |
+3,64% | ![]() |
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SCHLECHTESTER FONDS | ![]() |
-1,12% | ![]() |
-0,49% | ![]() |
+0,41% | ![]() |
n.v. | ![]() |
-5,34% | ![]() |
-23,67% | ![]() |
-15,92% | ![]() |
-11,26% | ![]() |
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Kennzahlen | Handelsdaten | |||||||
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VOLATILITÄT (1 JAHR) | ![]() |
5,31% | ![]() |
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PREIS VORTAG | ![]() |
80,94 EUR | ![]() |
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SHARP RATIO (1 JAHR) | ![]() |
-0,50 | ![]() |
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JAHRESHOCH SEIT 01.01. | ![]() |
81,79 EUR | ![]() |
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INFORMATION RATIO | ![]() |
0,11 | ![]() |
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JAHRESTIEF SEIT 01.01. | ![]() |
78,13 EUR | ![]() |
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TREYNOR RATIO | ![]() |
-3,38% | ![]() |
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12 MONATS-HOCH | ![]() |
82,84 EUR | ![]() |
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JENSEN´S ALPHA | ![]() |
-0,47% | ![]() |
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12 MONATS-TIEF | ![]() |
78,13 EUR | ![]() |
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BETAFAKTOR | ![]() |
0,79% | ![]() |
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3 JAHRES-HOCH | ![]() |
99,60 EUR | ![]() |
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GRÖßTER VERLUST (1 JAHR) | ![]() |
-14,46% | ![]() |
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3 JAHRES-TIEF | ![]() |
78,13 EUR | ![]() |
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LÄNGSTE VERLUSTPERIODE | ![]() |
7 Monate | ![]() |
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Top-Holdings | |||||
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Republik Slowenien Bonds 16/32 | ![]() |
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4,90% | ![]() |
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Republik Österreich Bundesanl. 16/26 | ![]() |
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4,70% | ![]() |
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Republik Italien B.T.P. 99/31 | ![]() |
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4,50% | ![]() |
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Königreich Spanien Obligaciones 15/25 | ![]() |
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4,20% | ![]() |
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Königreich Spanien Obligaciones 16/26 | ![]() |
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4,20% | ![]() |
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Republik Italien B.T.P. 98/29 | ![]() |
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4,20% | ![]() |
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Republik Österreich Bundesanl. 17/27 | ![]() |
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4,20% | ![]() |
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Slowakei Anl. 14/29 | ![]() |
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4,10% | ![]() |
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Besonderheiten | ||||||||
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Valuta Kauf | ![]() |
T+2 | ![]() |
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Valuta Verkauf | ![]() |
T+2 | ![]() |
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