Die flatex AG ist ein deutscher börsennotierter Online Broker und Anbieter von Finanztechnologien mit Sitz in Frankfurt am Main. Das Unternehmen wurde im Juli gegründet und unterhält mehrere weitere Standorte in Deutschland und Österreich. In dieser Woche geht der Apartment-Vermittler AirBnB an die Börse. Im Vorfeld wurde nun bekannt, dass man den Ausgabepreis der Aktien nochmal deutlich angehoben hat. Wie Kristian Volaric AirBnB einschätzt, erfahren Sie in dieser Sendung. abattoirlillers.com › wiki › Flatex.
Flatex Test und ErfahrungenflatexDEGIRO ist heute der führende europäische Online Broker mit über 1 Millionen Kunden in 18 Ländern. Für unsere Kunden wickeln wir jährlich über 60 Mio. Flatex Testbericht: Broker-Test mit ausführlichem Vergleich der Handelskonditionen, Kundenbewertungen, Erfahrungen. flatex hat sich als Online Broker für den handelsaktiven Privatanleger am Markt positioniert. Das Handelsangebot umfasst den Handel mit Aktien, Fonds.
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Effective Duration. Start a Day Free Trial. Process Pillar. Unlock Rating. People Pillar. Parent Pillar. Summary Elizabeth Foos Nov 27, All Funds by Classification.
Fund Facts. For Class F-3 Shares, this chart tracks the year standard deviation and year annualized return of the fixed income funds.
Portfolio Management. Aaron Applebaum 19 13 6. Mark Marinella 35 7 2. Aaron Applebaum 6 13 19 Mark Marinella 2 7 A boldface number indicates that years of experience with Capital Group is equal to years of experience with investment industry.
Overall Morningstar Rating TM. Risk Measures. Fund Standard Deviation 2. Quality Summary Read important investment disclosures. Average Life Breakdown.
Bonds Breakdown. Bond Details. Total bond holdings. Top Fixed-Income Issuers. The City of New York. Metropolitan Transportation Authority. State of California General Obligation Bonds.
State of Illinois. State of Washington. Michigan State Housing Development Authority Geographic Breakdown. Top States. New York. Historical Prices Month-End.
Historical Prices Year-End. Income Dividend Special. Gains Long-Term. Gains Short-Term. Daily Dividend Accrual for Pay Date. Rate As of Date 0. Current Daily Dividend Accrual.
Rate As of-Date 0. Annual Management Fees 0. As of each fund's most recent prospectus. Expense Ratio.
FLTEX 0. Fund as of most recent prospectus. About Our Funds. Share Class Pricing Details. Stats Update PDF. Resource Guide PDF. Excludes certain securities in initial period of acquisition.
Cash and equivalents includes short-term securities, accrued income and other assets less liabilities.
It may also include investments in money market or similar funds managed by the investment adviser or its affiliates that are not offered to the public.
The information shown does not include cash and cash equivalents. This includes shares of money market or similar funds managed by the investment adviser or its affiliates that are not offered to the public.
Figures include convertible securities; totals may not reconcile due to rounding. Underlying revenue data were compiled by MSCI and account for disparities in the way companies report their revenues across geographic segments.
MSCI provides revenue data figures based on a proprietary, standardized model. In this breakdown, Israel has been included in Europe.
The portfolio managers shown are as of each fund's most recent prospectus at time of publication. Preservation ratings are relative, rather than absolute, measures, and funds named Lipper Leaders for Preservation may still experience losses periodically; those losses may be larger for equity and mixed equity funds than for fixed income funds.
Tax Efficiency offers no benefit to investors in tax-sheltered accounts such as k plans. The Lipper ratings are subject to change every month and are based on an equal-weighted average of percentile ranks for the Total Return, Consistent Return, Preservation, Tax Efficiency and Expense metrics.
Lipper ratings are not intended to predict future results, and Lipper does not guarantee the accuracy of this information. Calculated by Capital Group.
Due to differing calculation methods, the figures shown here may differ from those calculated by Morningstar.
Calculated by Morningstar. Exchange-traded funds and open-ended mutual funds are considered a single population for comparative purposes.
It is calculated based on a Morningstar Risk-Adjusted Return measure that accounts for variation in a managed product's monthly excess performance, placing more emphasis on downward variations and rewarding consistent performance.
The Morningstar Rating does not include any adjustment for sales loads. The Overall Morningstar Rating for a managed product is derived from a weighted average of the performance figures associated with its three-, five-, and year if applicable Morningstar Rating metrics.
While the year overall star rating formula seems to give the most weight to the year period, the most recent three-year period actually has the greatest impact because it is included in all three rating periods.
Past results are not guarantee of results in future periods. The Morningstar Ratings are based on the share classes of each underlying fund held by the series; other underlying fund share classes may have different performance characteristics.
The months indicated for dividends and capital gains paid represent the anticipated current year ex-dividend date schedule for all share classes.
YTD year-to-date return : the net change in the value of the portfolio in percentage terms from January 1 of the current year to the date shown above.
Expense ratios are as of the most recent prospectus. The model for the fixed-income style box is based on the two pillars of fixed-income performance: interest-rate sensitivity and credit quality.
The three interest sensitivity groups are limited, moderate and extensive and the three credit quality groups are high, medium and low.
These groupings display a portfolio's effective duration and third party credit ratings to provide an overall representation of the fund's risk orientation given the sensitivity to interest rate and credit rating of bonds in the portfolio.
Results for certain funds with an inception date after the share class inception also include hypothetical returns because those funds' shares sold after the funds' date of first offering.
Accordingly, the fund's SEC yield and distribution rate may differ. Terms and Definitions. Beta: Beta relatively measures sensitivity to market movements over a specified period of time.
The beta of the market represented by the benchmark index is equal to 1; a beta higher than 1 implies that a return was more volatile than the market.
A beta lower than 1 suggests that a return was less volatile than the market. Generally the higher the R-squared measure, the more reliable the beta measurement will be.
Bloomberg Barclays Municipal Short-Intermediate Years: Bloomberg Barclays Municipal Short-Intermediate 1—10 Years Index is a market-value-weighted index that includes investment-grade tax-exempt bonds with maturities of one to 10 years.
This index is unmanaged, and its results include reinvested distributions but do not reflect the effect of sales charges, commissions, account fees, expenses or U.
Bond Statistic Average Coupon: The average coupon is the weighted average coupon rate of all the bond holdings.
Bond Statistic Average Duration in Years: Expressed in years, average duration is a weighted average of the estimated price sensitivity of the bond holdings to a given change in interest rates.
Typically, bonds with a longer duration pay higher interest but are more sensitive to interest rate changes.
Bond Statistic Average Life in Years: Expressed in years, average life is time weighting the expected principal payments, taking into consideration the impact of calls and prepayments.
In general, it is a better measure than average maturity for bonds that have the ability to prepay principal before they reach maturity e.
Data shown is a weighted average of the bond holdings. Bond Statistic Average Yield to Maturity: A weighted average of all the bond holding's yield to maturities.
Yield to maturity is the return a bond earns if held to maturity, based on its price and coupon. Assumes that coupon payments can be reinvested at the yield to maturity.
Bond Statistic Effective Duration in Years: Effective duration is a duration calculation for bonds that takes into account that expected cash flows will fluctuate as interest rates change.
Distribution rate month: The income per share paid by the fund over the past 12 months to an investor from dividends including any special dividends.
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Weitere detaillierte Informationen gem. Der Vorläufer von flatex, die PRE. IPO AG, wurde bereits gegründet.
Der Online Broker flatex ist nun eine prozentige Tochtergesellschaft. Konto- und depotführende Bank von flatex ist die Fintech Group Bank.
Einlagen bis Mehr als Stetig erweitert der Online Broker flatex das Produktportfolio um innovative Services, z. Konto- und depotführende Bank von flatex ist die flatex Bank.
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