Fonds

Allianz European Eq.Dividend A EUR

ISIN: LU0414045582
/ Emittent: Allianz Gl.Investors
LETZTER KURS (09.07.20 / 21:47): 107,000 €
-0,21 €
-0,19 %

Stammdaten

  • Anlagekategorie Aktien
  • Fondsvermögen 1.854,60 Mio.
  • Ausschüttungsart ausschüttend
  • Währung EUR
  • Total Expense Ratio -%

Kennzahlen

  lfd. Jahr 6 Mon 1 Jahr 3 Jahre 5 Jahre
Performance -17,95 -18,18 -13,79 -12,08 -6,18
Volatilität 34,48 35,20 25,75 16,93 16,44
Sharpe Ratio -0,91 -0,93 -0,52 -0,22 -0,05
Bester Monat 7,95 7,95 7,95 7,95 7,95
Schlechtester Monat -18,61 -18,61 -18,61 -18,61 -18,61
Max. Verlust -38,80 -38,80 -38,80 -38,80 -38,80

Times & Sales

Nr. Uhrzeit Kurs Umsatz Akkumulierter Umsatz
52 21:47:00 107,000 0 0
51 21:32:00 107,000 0 0
50 21:17:00 107,000 0 0
49 21:02:00 107,000 0 0
48 20:47:00 107,060 0 0
47 20:32:00 107,060 0 0
46 20:17:00 107,060 0 0
45 20:02:00 107,000 0 0
44 19:47:00 107,290 0 0
43 19:32:00 107,290 0 0
42 19:17:00 107,290 0 0
41 19:02:00 107,250 0 0
40 18:47:00 107,150 0 0
39 18:32:00 107,110 0 0
38 18:17:00 107,110 0 0
37 18:02:00 107,000 0 0
36 17:47:00 107,000 0 0
35 17:32:00 108,170 0 0
34 17:17:00 108,260 0 0
33 17:02:00 108,260 0 0
32 16:47:00 108,750 0 0
31 16:32:00 108,970 0 0
30 16:17:00 108,970 0 0
29 16:02:00 108,970 0 0
28 15:47:00 108,970 0 0
27 15:32:00 108,970 0 0
26 15:17:00 108,970 0 0
25 15:02:00 108,970 0 0
24 14:47:00 108,970 0 0
23 14:32:00 108,970 0 0
22 14:17:00 108,970 0 0
21 14:02:00 108,970 0 0
20 13:47:00 108,970 0 0
19 13:32:00 108,970 0 0
18 13:17:00 108,970 0 0
17 13:02:00 108,970 0 0
16 12:47:00 108,970 0 0
15 12:32:00 108,970 0 0
14 12:17:00 108,970 0 0
13 12:02:00 108,970 0 0
12 11:47:00 108,970 0 0
11 11:32:00 108,970 0 0
10 11:17:00 108,970 0 0
9 11:02:00 108,970 0 0
8 10:47:00 108,970 0 0
7 10:32:00 108,970 0 0
6 10:17:00 108,970 0 0
5 10:02:00 108,970 0 0
4 09:47:00 108,840 0 0
3 09:32:00 108,840 0 0
2 09:17:00 108,840 0 0
1 08:05:02 108,710 0 0