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Wertentwicklung und Volatilität in % |
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Zeitraum |
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Depot |
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Index |
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Laufendes Jahr |
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-0,30 |
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+6,00 |
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1 Jahr |
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-0,92 |
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+5,74 |
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3 Jahre (p.a.) |
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+5,96 |
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+9,15 |
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5 Jahre (p.a.) |
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+7,74 |
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+7,60 |
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10 Jahre (p.a.) |
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+5,91 |
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+5,67 |
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20 Jahre (p.a.) |
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+6,51 |
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+5,99 |
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2015 |
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+5,75 |
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+8,64 |
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2014 |
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+12,22 |
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+14,77 |
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Volatilität (5 Jahre) |
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+5,72 |
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+6,95 |
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Fondsinformationen |
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WKN |
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847625 |
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ISIN |
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DE0008476250 |
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KAG |
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Allianz Global Investors Europe GmbH |
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Managementgeb. |
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z. Zt. 1,15 % p. a. |
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Rating |
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A |
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Benchmark |
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25 % MSCI World - 75 % Citigroup World Gov. Bond |
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|