Dati anagrafici

Nome
DWS Euro Bond LD Dis EUR
Tipologia
-
Sicav
DWS INTERNATIONAL
Categoria Assogestioni
Obb. Euro Governativi M/L Termine
Benchmark ufficiale
iBoxx Euro Overall TR Index (100,00%)
Grado di rischio
3
Data inizio quotazione
-
Valuta di denominazione
Euro
Valuta di quotazione
Euro
Stato
Quotato
Distribuzione dei proventi
Distribuito

FIDArating

Data
-
Rating
-
Score
-
Categoria
Obbligazionari Euro - Globali - Corporate e Governativi

Società

Società
DWS INTERNATIONAL
Indirizzo
MAINZER LANDSTRASSE 11-17 - 60329 Frankfurt Am Main
Sito internet
www.dws.lu

Scheda Fida

Documento sintetico descrittivo delle caratteristiche e delle performance dell'oicr, a cura di Fida

Scarica ora

Dati al 31/01/2026.


Politica di investimento

The fund invests in government bonds that are denominated in euro, bonds of near-government issuers and covered bonds. Near-government issuers include central banks, government authorities, regional authorities and supra-national institutions. Corporate bonds may be added in. The selection of the individual investments is at the discretion of the fund management. The fund promotes environmental and social characteristics or a combination of these characteristics without pursuing an explicit ESG and/or sustainable investment strategy. The majority of the fund's securities or their issuers are expected to be components of the benchmark. The fund management will use its discretion to invest in e.g. securities, sectors, ratings that are not included in the benchmark in order to take advantage of specific investment opportunities. It is expected that the portfolio will have a similar weighting to the benchmark. The positioning of the fund can deviate from the benchmark to a limited extent (e.g., by holding positions that are not contained in the benchmark, as well as by an underweighting or overweighting).


Investimenti e commissioni

Commissioni di gestione
0,70% : annuale

Commissioni di ingresso
3,00% : aliquota max per qualsiasi importo investito
Commissioni di performance
0,00% : non prevista
Commissioni di uscita
0,00% : non prevista

Modalità di sottoscrizione in un'unica soluzione

Versamento iniziale
-
Versamento successivo
-
Valuta versamento
-

Dividendi

Data stacco Importo dividendo (Euro)
05/12/2025 0,38
06/12/2024 0,31

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