window.translations = { "Actions européennes": "European equities", "common.labels.close": "Close", "common.labels.filters": "Filters", "common.labels.help": "Help", "common.labels.loading": "Loading", "common.labels.nb_result_per_page": "Ergebnisse pro Seite", "common.labels.total": "Treffer", "Cotation": "NOTIERUNG", "data.asset_class.actifs.titrises": "Anleihen", "Documents": "DOKUMENTE", "ETF – Investissement Responsable": "Verantwortliches Investieren", "Key information": "WESENTLICHE INFORMATIONEN", "Matières Premières": "Rohstoffe", "npe.doctype.annualreport": "Jahresbericht", "npe.doctype.fundholdings": "Aufstellung des Fondsvermögens", "npe.doctype.fundnoticecreditrisk": "Fund Notice Creditrisk", "npe.doctype.fundnoticestocks": "Fund Notice Stocks", "npe.doctype.kiid": "KIID", "npe.doctype.monthlyfactsheet": "Factsheet", "npe.doctype.periodicreport": "Halbjahresbericht", "npe.doctype.prospectus": "Prospekt", "npe.doctype.regulation": "Regulation", "npe.doctype.reportimpactsocial": "Emittenten Report", "npe.doctype.salesretailbrochure": "Sales Retail Brochure", "npe.doctype.simpleprospectus": "Prospekt", "Performances": "WERTENTWICKLUNG", "Performances au JJ\/MM\/AAA": "Fondsperformance per TT\/MM\/JJJJ", "Performances nettes cumulées": "Kumulierte Wertentwicklung (netto)", "tip.comparator.labels.compare": "Validate", "tip.comparator.labels.is_empty": "No fund selected", "tip.field.affect_result": "Ertrags verwendung", "tip.field.applicable_right": "Domizil", "tip.field.asset_class": "Asset class", "tip.field.asset_class_level_2": "Anlageklasse", "tip.field.class_type": "Anteilsklasse", "tip.field.comparment_net_assets": "Fondsvolumen in Mio. per TT\/MM\/JJJ", "tip.field.compartment_label": "Compartment", "tip.field.currency": "Währung", "tip.field.current_fees": "Laufende Gebühren", "tip.field.current_fees_etf": "Laufende Kosten", "tip.field.document_type_aifmg": "AIFMG", "tip.field.document_type_annual_report": "Jahres Bericht", "tip.field.document_type_fund_alert": "Fund alert", "tip.field.document_type_fund_teaser": "Fund Teaser", "tip.field.document_type_kid_priips": "PRIIPS KID", "tip.field.document_type_kiid": "KIID", "tip.field.document_type_kiid_etf": "Wesentliche Anlegerinformationen", "tip.field.document_type_monthly_factsheet": "Factsheet", "tip.field.document_type_periodic_report": "Halbjahres Bericht", "tip.field.document_type_prospectus": "Prospekt", "tip.field.document_type_qualitative_sheet": "Qualitative sheet", "tip.field.document_type_regulation": "Rules and statutes", "tip.field.document_type_sales_retail_brochure": "Annual report", "tip.field.document_type_simple_prospectus": "Simplified prospectus", "tip.field.geographical_area": "Geographic area", "tip.field.investment_policy": "Investment policy", "tip.field.investment_term": "Recommended minimum investment period", "tip.field.isin": "ISIN", "tip.field.issue_date": "Issue Date", "tip.field.maturity_date": "Maturity Date", "tip.field.morning_star_date": "Morning star notation date", "tip.field.morningstar_rating": "Morning star rate", "tip.field.name.issue": "Issue Name", "tip.field.net_asset_value": "Rechenwert", "tip.field.net_asset_value_date": "NAV date", "tip.field.net_asset_value_decimal": "NAV decimals", "tip.field.net_asset_value_etf": "Nettoinventarwert (NAV)", "tip.field.net_assets": "Fondsvolumen (Mio.)", "tip.field.net_assets_date": "Net asset value date", "tip.field.outperformance": "Outperformance", "tip.field.performance_1_year": "1 Jahr", "tip.field.performance_2_years": "2 Jahre", "tip.field.performance_3_years": "3 Jahre", "tip.field.performance_4_years": "4 Jahre", "tip.field.performance_5_years": "5 Jahre", "tip.field.performance_date": "Performance date", "tip.field.performance_decimal": "Performance decimals", "tip.field.performance_ytd": "LFD. Jahr", "tip.field.product_range": "Product range", "tip.field.products.list": "Products List", "tip.field.redemption_price": "Rücknahmepreis", "tip.field.reference_indicator": "Reference indicator", "tip.field.release_date": "Inception date", "tip.field.risk_profile_sri": "SRI", "tip.field.risk_profile_srri": "Risikoklasse (SRRI)", "tip.field.sfdr_classification": "Nachhaltigkeits kategorie", "tip.field.share_label": "Fondsname", "tip.field.share_type": "Share type", "tip.field.subscription_price": "Ausgabepreis", "tip.filter.affect_result": "Ertragsverwendung", "tip.filter.applicable_right": "Domizil", "tip.filter.asset_class_level_2": "Anlageklasse", "tip.filter.asset_manager": "Asset Manager", "tip.filter.class_type": "Anteilsklasse", "tip.filter.currency": "Währung", "tip.filter.currency.etf": "Referenzwährung", "tip.filter.eligibility": "Eligibility", "tip.filter.footnote.sfdr_classification": "Gemäß der EU-Offenlegungsverordnung werden Fonds nach ihrem Nachhaltigkeitsansatz in drei Kategorien unterteilt: Artikel 8 Fonds integrieren Nachhaltigkeitskriterien (ESG) in die Anlagepolitik, Artikel 9 Fonds streben ein Nachhaltigkeitsziel an, Artikel 6 Fonds berücksichtigen keine ESG-Kriterien.", "tip.filter.geographical_area": "Geographical area", "tip.filter.multiple.tag": "Ausgewählte(r) Wert(e):", "tip.filter.risk_profile_sri": "SRI", "tip.filter.risk_profile_srri": "Risikoprofil", "tip.filter.sfdr_classification": "Nachhaltigkeitskategorie", "tip.filter.share_type": "Anteilsklassen", "tip.filter.share_type_etf": "Anteil", "tip.footnote.document_type_kid_priips": "Auch wenn auf dieser Website derzeit PRIIPs-Basisinformationsblätter verfügbar sind, treten diese erst am 1. Januar 2023 in Kraft. Bis zu diesem Datum verweisen wir auf die OGAW-KIIDs, die bis zum 31. Dezember 2022 in Kraft sind.", "tip.footnote.sfdr_classification": "Gemäß der EU-Offenlegungsverordnung werden Fonds auf Basis ihres Nachhaltigkeitsansatzes in drei Kategorien unterteilt: \r\nArtikel 6: Diese Fonds berücksichtigen Nachhaltigkeitskriterien (ESG-Kriterien) nicht oder nur in geringem Umfang.\r\nArtikel 8: Diese Fonds integrieren ESG-Kriterien in ihre Anlagepolitik. \r\nArtikel 9: Diese Fonds haben ein angestrebtes Nachhaltigkeitsziel (z.B. Reduktion von CO2-Emissionen). \r\nDie jeweilige Einstufung wurde von der Fondsverwaltungsgesellschaft vorgenommen.", "tip.fund_research_constants.labels.search_placeholder": "Suche", "tip.fund_research_filter_summary.labels.reset_research": "Suche neu starten", "tip.fund_research.filter.labels.result_count": "{count, plural, =0 {No Treffer} =1 {# Treffer} other {# Treffer}} Ihrer Suche", "tip.fund_result_action_list.actions.comparator": "Cochez les fonds à sélectionner puis cliquer ICI pour les comparer", "tip.fund_result_action_list.actions.export": "Excel-Export", "tip.fund_result_action_list.actions.sort": "Sort by", "tip.fund_result_action_list.display_mode.label": "Display Mode", "tip.fund_result_action_list.display_mode.list": "List", "tip.fund_result_action_list.display_mode.table": "Array", "tip.fund_result_card_action.actions.reportings": "{count, plural, =0 {Suscribe to reporting } =1 {Edit my subscription} other {Update my subscriptions}}", "tip.fund_result_card_details.actions.fonds_detail": "Zusammenfassung der Fondsmerkmale", "tip.fund_result_card_details.errors.performance_not_available": "The performance of this share ar not available", "tip.fund_result_card_details.labels.accrued_performance_period": "Kumulierte Wertentwicklung (netto) im ausgewählten Zeitraum {startDate, date, short} \/ {endDate, date, short}", "tip.fund_result_card_details.labels.funds_carrier": "Performance des Index im gleichen Zeitraum: {indexPerf, number, percent-2-digit}", "tip.fund_result_card_details.modal.confirm_unfollowed_fund": "Confirm the suppression of tracked fund ?", "tip.fund_result_card_details.modal.confirm_unfollowed_fund_title": "Confirmation", "tip.fund_result_card_nav_subscription_action.actions.nav": "{count, plural, =0 {Subscribe to NAV notification} =1 {Change my NAV notification} other {Update my notifications on NAV}}", "tip.fund_result_card_threshold_subscription_action.actions.threshold": "{count, plural, =0 {Create a Floor\/Ceiling alert} =1 { Change a Floor\/Ceiling alert } other {Update Floor\/Ceiling alerts }}", "tip.fund_result_data_reader.document_overlay_label": "{count, plural, =0 {No document} =1 {ein Dokument} other {{count} Dokumente}}", "tip.fund_result_help.srri.modal.body": "Scale of risk level 1 (small risk) to 7 (serious risk). The risk level of the funds mostly reflects the risk of the market in which the funds is invested, and when appropriate, the reverse leveraging or performance strategy of the index. The capital initially invested cannot be guaranteed.", "tip.fund_result_table.perfs_modal.reference_indicator_label": "Reference indicator", "tip.fund_result_table.perfs_modal.title": "Reference indicator", "tip.fund.labels.index_performance": "Performance des Index im gleichen Zeitraum: {indexPerf, number, percent-2-digit}", "tip.fund.modal.main_help.title": "Help", "tip.labels.false": "No", "tip.labels.na": "Disabled", "tip.labels.true": "Yes", "tip.perimeter.all_funds": "All funds", "tip.perimeter.amundi_selection": "Amundi selection", "tip.perimeter.model_portfolio1": "Model Portfolio 1", "tip.perimeter.model_portfolio2": "Model Portfolio 2", "tip.perimeter.model_portfolio3": "Model Portfolio 3", "tip.perimeter.model_portfolio4": "Model Portfolio 4", "tip.perimeter.model_portfolio5": "Model Portfolio 5", "tip.perimeter.retailer_selection": "Retailer selection", "tip.perimeter.title": "Perimeter", "tip.perimeter.title.etf": "Anlageklassen", "tip.tab.documents": "Documents", "tip.tab.general_information": "General information", "tip.tab.investment_policy": "Investment policy", "tip.tab.performances": "Performances", "tip.tab.sliding_performance": "Sliding performance", "tip.watchlist.actions.display_performance": "View the performance graph", "tip.watchlist.followed.modal.main_help.title": "Help", "tip.watchlist.held.modal.main_help.title": "Help", "tip.watchlist.mandate.modal.main_help.title": "Help" }