Kostentyp | Kosten |
---|---|
Ausgabeaufschlag | 3,00 % |
Verwaltungsgebühr | 1,20 % |
Laufende Kosten | 1,51 % |
Rückgabegebühr | – |
Depotbankgebühr | – |
All-in-Fee | – |
Datum Ertragsverwendung | Ausschüttungen |
---|---|
16.12.2024 Ausschüttend | 16,600 EUR |
14.12.2023 Ausschüttend | 23,780 EUR |
14.12.2022 Ausschüttend | 0,320 EUR |
Sparplanfähigkeit | |
---|---|
Keine Sparpläne |
Wertpapiername | Anteil |
---|---|
Goldman Sachs North America Enhanced Index Sustainable Equity - Z EUR ACC Fonds · WKN A3C59E · ISIN LU2163089720 | 14,83 % |
BERESFORD NTH AMERI SUS EQ-Z Fonds · ISIN IE00BJV2ST24 · | 12,60 % |
Goldman Sachs Global Sustainable Equity - I EUR ACC Fonds · WKN A0ML89 · ISIN LU0191250769 | 9,50 % |
Goldman Sachs Euro Credit - I EUR ACC Fonds · WKN A1H9S4 · ISIN LU0555026250 | 7,87 % |
Goldman Sachs Euro Bond - I EUR ACC Fonds · WKN A1H9Q6 · ISIN LU0555023588 | 7,29 % |
Goldman Sachs Green Bond Short Duration - I EUR ACC Fonds · WKN A2PDZY · ISIN LU1922482994 | 6,36 % |
Goldman Sachs Euro Long Duration Bond - I EUR ACC Fonds · WKN A1H9TT · ISIN LU0555025526 | 6,07 % |
Goldman Sachs Sovereign Green Bond - I EUR ACC Fonds · WKN A3C5QS · ISIN LU2280235313 | 6,01 % |
Goldman Sachs Euro Sustainable Credit - I EUR ACC Fonds · WKN A2JQP9 · ISIN LU1106537605 | 5,91 % |
Goldman Sachs Euromix Bond - I EUR ACC Fonds · WKN A1H9TZ · ISIN LU0555024123 | 5,42 % |
Summe: | 81,86 % |
ISIN | Währung | Ertragsverwendung | Ausgabeaufschlag | Lfd. Kosten | Sparplanfähig | Min. Einmalanlage |
---|---|---|---|---|---|---|
(dieser Fonds) | EUR | Ausschüttend | 3,00 % | 1,51 % | nein | – |
EUR | Thesaurierend | 2,00 % | 0,90 % | nein | 250.000,00 EUR | |
EUR | Thesaurierend | 3,00 % | 1,47 % | nein | – | |
EUR | Thesaurierend | 3,00 % | 0,91 % | nein | – | |
EUR | Ausschüttend | 3,00 % | 0,91 % | nein | – | |
EUR | Thesaurierend | 5,00 % | 2,27 % | nein | – | |
EUR | Ausschüttend | 5,00 % | 2,31 % | nein | – | |
EUR | Thesaurierend | – | 0,38 % | nein | 5,00 Mio. EUR |
Viele Investmentfonds werden in unterschiedlichen Anteilklassen angeboten. Dabei handelt es sich um Anteile am selben Fonds. Anteilklassen können sich z.B. in der Ertragsverwendung (ausschüttend / thesaurierend), in der Höhe des Ausgabeaufschlags und der Verwaltungsvergütung oder der Mindestanlagesumme unterscheiden. Jede Anteilsklasse besitzt eine eigene Wertpapierkennummer (WKN) und internationale Wertpapierkennummer (ISIN). Das Investmentkonzept bleibt über die Anteilklassen hinweg unverändert.
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The Fund is classified as a financial product under Article 8 of the EU Sustainable Finance Disclosure Regulation. The Fund promotes environmental or social characteristics and has partial sustainable investments as its objective. The fund is a fund of funds and invests primarily in a diversified international portfolio of equity and fixed income funds (funds that invest in either stocks or fixed income instruments). Also other financial instruments can be used to achieve the investment objectives. The fund may also invest directly, up to 20% of its net assets, in mainland China via Stock Connect which is the mutual market access programme through which investors can deal in selected securities. The fund uses active management to respond to changing market conditions by using amongst others fundamental and behavioural analysis resulting in dynamic asset allocations over time. The fund positioning can therefore materially deviate from the benchmark. The fund is actively managed against an investment profile of 50% bonds denominated in Euro (benchmark Bloomberg Euro Aggregate) and 50% global stocks (benchmark MSCI AC World (NR)), with a bandwidth of 20%. Measured over a period of several years we aim to beat the performance of the combined benchmark. The benchmark is a broad representation of our investment universe. The fund may also include investments into securities that are not part of the benchmark universe. We put an accent on stable capital growth. The fund strives to add value via three approaches: (1) Selection within and between stocks and bonds, (2) Selection in a diverse set of funds (3) Decide on portfolio diversification and risk management. You can sell your participation in this fund on each (working) day on which the value of the units is calculated, which for this fund occurs daily. The fund does not aim to provide you with a dividend. It will reinvest all earnings.
Kursquelle | letzter Kurs Zeit · Volumen |
---|---|
KVG Echtzeit | 1.627,070 EUR -1,210 EUR · -0,07 % 07.02.2025, 08:00:00 · unbekannt |