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Xtrackers II EUR High Yield Corpor. Bd 1-3 Swap UCITS ETF 1D | ![]() |
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Handelsdaten |
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ETF Infos | ||||||||
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INDEX | ![]() |
iBoxx EUR Liquid High Yield 1-3 Index | ![]() |
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STRUKTUR | ![]() |
Swap-basiert | ![]() |
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INDEXANBIETER | ![]() |
Markit Group | ![]() |
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ERTRÄGE | ![]() |
ausschüttend | ![]() |
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INDEXTYP | ![]() |
Benchmark-Index | ![]() |
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BENCHMARK | ![]() |
Markit iBoxx EUR Liquid High Yield 1-3 Index | ![]() |
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FONDSVOLUMEN | ![]() |
183,80 Mio. EUR | ![]() |
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Indexbeschreibung The Markit iBoxx EUR Liquid High Yield Index is designed to reflect the performance of EUR denominated sub-investment grade, liquid corporate debt. The index rules have been designed to offer a broad coverage of the market with emphasis on liquidity to be suitable for OTC and exchange-traded derivatives, and Exchange Traded Funds (ETFs). The index is an integral part of the global Markit iBoxx Liquid Indices which provide the marketplace with liquid and investable versions of the broader Markit iBoxx benchmark index families. |
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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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9,802
EUR
0,000 EUR / 0,00% |
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0,00
EUR
0 Stk. |
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9,68 EUR
25.823 Stk. |
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9,92 EUR
25.197 Stk. |
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Düsseldorf |
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9,785
EUR
0,060 EUR / 0,62% |
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0,00
EUR
0 Stk. |
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n.v. EUR
n.v. Stk. |
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n.v. EUR
n.v. Stk. |
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Frankfurt |
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9,781
EUR
0,020 EUR / 0,20% |
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0,00
EUR
0 Stk. |
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n.v. EUR
n.v. Stk. |
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n.v. EUR
n.v. Stk. |
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Lang & Schwarz Exchange |
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9,777
EUR
0,006 EUR / 0,06% |
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n.v.
EUR
0 Stk. |
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9,78 EUR
2.551 Stk. |
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9,83 EUR
2.551 Stk. |
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München |
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9,787
EUR
0,000 EUR / 0,00% |
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0,00
EUR
0 Stk. |
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n.v. EUR
n.v. Stk. |
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n.v. EUR
n.v. Stk. |
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Stuttgart |
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9,738
EUR
0,003 EUR / 0,03% |
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0,00
EUR
0 Stk. |
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9,75 EUR
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9,83 EUR
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Tradegate |
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9,802
EUR
0,000 EUR / 0,00% |
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9.795,60
EUR
1.000 Stk. |
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9,76 EUR
5.150 Stk. |
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9,84 EUR
5.100 Stk. |
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Xetra |
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9,802
EUR
0,000 EUR / 0,00% |
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923,09
EUR
94 Stk. |
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n.v. EUR
n.v. Stk. |
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n.v. EUR
n.v. Stk. |
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Kursstellung im Direkthandel (realtime) | |||||||||
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GELD / STÜCKE | ![]() |
BRIEF / STÜCKE | ![]() |
DATUM | ![]() |
UHRZEIT | ![]() |
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Lang & Schwarz
![]() | ![]() | 9,78 EUR 2.551 Stk. | ![]() | 9,83 EUR 2.551 Stk. |
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21.01.21 | ![]() |
22:30:45 | ![]() |
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Baader
![]() | ![]() | 9,76 EUR 9.220 Stk. | ![]() | 9,84 EUR 9.220 Stk. |
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21.01.21 | ![]() |
20:31:12 | ![]() |
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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. | ![]() |
0,25% | ![]() |
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LETZTE AUSSCHÜTTUNG | ![]() |
0,29 EUR (17.06.2020) | ![]() |
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Anlagestrategie Das Anlageziel besteht darin, die Wertentwicklung des Markit iBoxx EUR Liquid High Yield 1-3 Index abzubilden. Der Referenzindex bildet die Wertentwicklung der größten und liquidesten, auf EUR lautenden, fest und variabel verzinslichen Unternehmensanleihen aus dem Sub-Investment Grade-Segment (mit einem Rating unter Baa3/BBB-, High-Yield) mit einer Restlaufzeit von mindestens einem Jahr und höchstens drei Jahren ab, die von Emittenten innerhalb und außerhalb der Eurozone begeben wurden. |
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Wertentwicklung in Fondswährung | ![]() |
Wertentwicklung monatlich Fonds / Sektor | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
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Wertentwicklung in EUR im Vergleich zum Sektor "Rentenfonds Unternehmensanleihen höherverzinst, Europa, Euro" | ||||||||||||||||||
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1M | ![]() |
3M | ![]() |
6M | ![]() |
lfd. Jahr | ![]() |
1 Jahr | ![]() |
3 Jahre | ![]() |
5 Jahre | ![]() |
10 Jahre | ![]() |
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FONDS | ![]() |
+0,34% | ![]() |
+3,22% | ![]() |
+5,71% | ![]() |
+0,39% | ![]() |
+0,44% | ![]() |
+4,12% | ![]() |
+15,75% | ![]() |
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BESTER FONDS | ![]() |
+2,35% | ![]() |
+6,67% | ![]() |
+10,78% | ![]() |
n.v. | ![]() |
+4,93% | ![]() |
+20,91% | ![]() |
+32,66% | ![]() |
+79,43% | ![]() |
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SEKTOR-⌀ | ![]() |
+0,35% | ![]() |
+3,62% | ![]() |
+5,74% | ![]() |
+0,36% | ![]() |
+1,20% | ![]() |
+5,25% | ![]() |
+19,70% | ![]() |
+49,80% | ![]() |
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SCHLECHTESTER FONDS | ![]() |
-0,01% | ![]() |
+0,18% | ![]() |
-0,92% | ![]() |
n.v. | ![]() |
-8,06% | ![]() |
-0,66% | ![]() |
+4,86% | ![]() |
+27,11% | ![]() |
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Kennzahlen | Handelsdaten | |||||||
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VOLATILITÄT (1 JAHR) | ![]() |
14,42% | ![]() |
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PREIS VORTAG | ![]() |
9,80 EUR | ![]() |
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SHARP RATIO (1 JAHR) | ![]() |
0,09 | ![]() |
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JAHRESHOCH SEIT 01.01. | ![]() |
9,84 EUR | ![]() |
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INFORMATION RATIO | ![]() |
-0,02 | ![]() |
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JAHRESTIEF SEIT 01.01. | ![]() |
9,77 EUR | ![]() |
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TREYNOR RATIO | ![]() |
1,22% | ![]() |
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12 MONATS-HOCH | ![]() |
10,12 EUR | ![]() |
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JENSEN´S ALPHA | ![]() |
-0,06% | ![]() |
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12 MONATS-TIEF | ![]() |
7,47 EUR | ![]() |
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BETAFAKTOR | ![]() |
1,03% | ![]() |
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3 JAHRES-HOCH | ![]() |
10,12 EUR | ![]() |
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GRÖßTER VERLUST (1 JAHR) | ![]() |
-10,86% | ![]() |
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3 JAHRES-TIEF | ![]() |
7,47 EUR | ![]() |
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LÄNGSTE VERLUSTPERIODE | ![]() |
4 Monate | ![]() |
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Top-Holdings | |||||
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6,625% INTESA SANPAOLO SPA 13.09.2023 | ![]() |
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2,75% | ![]() |
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6,95% UNICREDIT SPA 31.10.2022 | ![]() |
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2,75% | ![]() |
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4,50% BAUSCH HEALTH COS INC 15.05.2023 | ![]() |
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2,46% | ![]() |
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Fiat Chrysler Finance Europe SENC XS1088515207 | ![]() |
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2,40% | ![]() |
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Fiat Chrysler Automobiles NV XS2178832379 | ![]() |
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2,20% | ![]() |
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Teva Pharmaceutical Finance Netherlands II BV XS1211040917 | ![]() |
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2,07% | ![]() |
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1,375% ThyssenKrupp AG 03.03.2022 | ![]() |
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2,06% | ![]() |
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ZF North America Capital Inc DE000A14J7G6 | ![]() |
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1,87% | ![]() |
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DKT Finance ApS XS1841967356 | ![]() |
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1,83% | ![]() |
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Telecom Italia SpA XS1169832810 | ![]() |
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1,77% | ![]() |
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Sektorenverteilung | |||||
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Divers | ![]() |
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46,36% | ![]() |
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Finanzen | ![]() |
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11,72% | ![]() |
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Konsumgüter zyklisch | ![]() |
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11,69% | ![]() |
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Grundstoffe | ![]() |
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8,95% | ![]() |
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Telekommunikationsdienstleister | ![]() |
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7,60% | ![]() |
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Konsumgüter nicht-zyklisch | ![]() |
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3,68% | ![]() |
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Industrie / Investitionsgüter | ![]() |
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3,64% | ![]() |
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Immobilien | ![]() |
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2,68% | ![]() |
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Gesundheit / Healthcare | ![]() |
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2,46% | ![]() |
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Kasse | ![]() |
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1,22% | ![]() |
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Länderverteilung | |||||
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Italien | ![]() |
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19,69% | ![]() |
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Frankreich | ![]() |
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15,32% | ![]() |
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Deutschland | ![]() |
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12,38% | ![]() |
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USA | ![]() |
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11,14% | ![]() |
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Luxemburg | ![]() |
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8,02% | ![]() |
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Niederlande | ![]() |
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7,82% | ![]() |
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Großbritannien | ![]() |
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6,82% | ![]() |
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Dänemark | ![]() |
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3,18% | ![]() |
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Kanada | ![]() |
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2,46% | ![]() |
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Japan | ![]() |
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2,20% | ![]() |
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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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Fondsname bis 15.02.2018: db x-trackers II iBoxx EUR High Yield Bond 1-3 UCITS ETF 1D | ![]() |
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