{ "morningstar-as-of": "mm/dd/yyyy", "7-day-current-yield": "7 Day Current Yield", "nav-change-percent": "NAV Change %", "year": "Year", "nav-as-of": "mm/dd/yyyy", "etf-portfolio-header-row-label": "Portfolio Holdings for {Fund Name} as of {date}", "performance-nb-fund-displayed": "Displaying 0 funds", "investment-minimum": "Initial Investment", "performance-tab": "Performance", "5yr": "5 YR", "share-prices": "Share prices", "etf-portfolio-symbol-row-label": "Symbol", "record-date": "Record date", "salescharges": "Sales Charges", "view-historical-price-data": "View Historical Price Data", "distr-rate-as-of": "mm/dd/yyyy", "wkn": "WKN", "etf-divhist-col-names": "Record Date,Ex-Dividend Date,Distribution Date, Dividend/Share (dynamicCurrency)", "important-legal-title": "Important Legal Information", "ter": "TER", "sector-allocation-heading": "Sector Allocation", "1-yr": "1 Yr", "etf-dividend-hist-sheet-name": "ETFDividendHistoryDetails", "fund-base-currency": "Basiswährung", "fund-category-as-of": "mm/dd/yyyy", "optional": "Optional", "benchmark-id": "Benchmark ID", "ms-category": "Morningstar Category ™", "choose-historical-dates": "Choose Historical Dates", "etf-price-hist-sheet-name": "ETFPriceHistoryDetails", "etf-price-hist-download-date-label": "Historic Pricing Results: From {beginDate} to {endDate}", "settlement-date": "Settlement Date", "notional-value": "Notional value", "price-and-ytd-return": "Price", "etf-dividend-hist-currency-label": "Base Currency", "read-important": "Read important information about performance results and other disclosures", "historic-yield": "Ausschüttungsrendite", "fund-based-currency": "Base Currency", "market-capitalisation-heading": "Market Capitalisation", "ytd-total-ret": "YTD Total return at Nav", "low-nav-ytd": "Niedrigster Rücknahmepreis", "etf-price-hist-xls-name": "PriceHistoryReportETF.xls", "etf-price-hist-min-nav-label": "Lowest NAV within selected range: {dynamicMinNav} on {dynamicDate}", "pop": "POP", "INTERIM-PROFIT": "ZWISCHEN-GEWINN", "DOCUMENTS-LABEL": "DOCUMENTS", "compare-selected-funds": "Compare Selected Funds", "fundcategory": "Investment Category", "ongoing-charges": "Laufende Kosten-Verhältnis", "currency": "Währung der Anteilsklasse", "investment-universe": "Investment Universe", "liquidation": "Liquidation", "exchange-name": "Exchange Name", "analizy-rating": "QualitativeRating", "etf-portfolio-col-names": "TICKER,ISIN,SECURITY NAME,SECTOR,WEIGHT (%),MARKET VALUE (dynamicCurrency),NOTIONAL VALUE (dynamicCurrency)", "rs-information-ratio": "Information Ratio", "pricing-1-month": "1 Mth", "rs-correlation": "Correlation", "[BASE-CURRENCY]": "BASIS-WAHRUNG", "rs-tracking-error": "Tracking Error", "distribution-date": "Zahltag", "income-use": "Use of Income", "pricing-3-months": "3 Mths", "month-end": "Month end", "noResultsMessage": "No Search Results are found", "to": "To", "investment_growth": "Investment Growth of 10,000", "etf-dividend-hist-divdate-label": "Download Dividends : From {beginDate} to {endDate}", "isa-status": "ISA Status", "reinvestment-amount": "Reinvestment Amount", "sales-charges": "Sales Charges", "obsr-rating": "OBSR Rating", "symbol": "TICKER", "use-of-income": "Use of Income", "updated-daily": "updated daily", "cusip": "CUSIP", "yield.wo-waiver": "w/o waiver", "fundobjective": "Fund Objective", "6-mth": "6 Mths", "maximum-initial-charge": "Ausgabeaufschlag", "etf-price-hist-inception-date-label": "Inception Date", "3yr": "3 YR", "no-information": "k.A", "select-a-year": "Select year", "expenses-collapse": "Expenses & Sales Charge", "pop-or-nav.caveat": "", "bt-performance-annual-component-heading": "Annualized Performance", "etf-portfolio-sheet-name": "ETFPortfolioDailyHoldings", "trading-information": "Trading Information", "rs-beta": "Beta", "ratings-tab": "Ratings", "market-value": "Market Value", "sector": "Sector", "record-date-label": "Stichtag", "favouriteonly": "My Favorites Only", "bloomberg": "Bloomberg", "asset-class": "Fondsart", "ytd": "YTD", "weight": "Weight", "nav-net-asset-value": "Net Asset Value", "rs-r-squared": "R Squared", "underlying-index": "Underlying Index", "etf-portfolio-xls-name": "PortfolioReportETF.xls", "overall": "Overall", "redemption-price": "Redemption Price", "bt-performance-calendar-component-heading": "Calendar Year Returns", "region": "Region", "next": "Next", "show": "Show", "funds-selected": "Funds Selected", "1-mth": "1 Mth", "life": "Life", "product-structure": "Product Structure", "rs-alpha": "Alpha", "mexid": "MEXID", "load": "Load", "sharp-ratio": "Sharp Ratio", "xls-font-style": "Calibri", "as-of": "As at", "dist-rate-pop-or-nav.caveat": "", "highest-lowest-nav": "Highest / Lowest NAV", "ticker": "Ticker", "allocation": "Allocation", "minimum-balance": "Minimum Balance", "previous": "Previous", "3-yr": "3 Yrs", "ms-rating-overall": "Morningstar Rating™ Gesamt", "money-funds": "Money Funds", "go": "Go", "pricing-ytd": "YTD", "standard-yield-as-of": "mm/dd/yyyy", "nav-total-return": "Average Annual Total Return at", "view-historical-dividends-data": "View historical dividends data", "performance-risk-statistics-component-heading": "Risk Measures", "total-fee": "Total Fee", "search.no-result": "There are no funds matching your filter criteria.", "etf-dividend-hist-xls-name": "DividendHistoryReportETF.xls", "add-to-favourite.add": "Add to my Favorites", "footnotes": "Footnotes", "pricing": "Historical Pricing", "morningstar-category": "Morningstar Category", "etf-price-hist-max-nav-label": "Highest NAV within selected range: {dynamicMaxNav} on {dynamicDate}", "performance-cumulative-component-heading": "Cumulative Total Returns", "etf-pricehist-col-names": "Date,NAV (dynamicCurrency),NAV Change (dynamicCurrency),NAV Change (%)", "inception": "Since Inception", "life-of-fund": "Life of Fund", "1yr": "1 YR", "nav-change": "Veränderung zum Vortag", "base-currency": "Basiswährung", "ric": "Reuters", "bt-performance-cumulative-component-heading": "Cumulative Total Returns", "select-exchange": "Select exchange", "performance-calendar-component-heading": "Calendar Year Returns", "ratings-nb-fund-displayed": "Displaying 0 funds", "trading-characteristics": "Trading Characteristics", "fav": "FAV", "fund-inception-date": "Auflegungsdatum des Fonds", "calculation-name-std": "Investment Management (%)", "nav": "Rücknahmepreis", "bloomberg-ticker": "Bloomberg", "minimum-initial-amount": "Minimum Initial Amount", "sedol": "SEDOL", "download-distributions-data": "Download", "distributions": "Distributions", "list-all-exchanges": "List all exchanges", "expenses-collapse.sales-charges": "Sales Charges", "distribution-yield": "Distribution Yield", "yield-tab": "Yield", "flag.hard-closure": "Closed to all investments", "high-nav-ytd": "Höchster Rücknahmepreis", "inception-date": "Auflegungsdatum", "flag.soft-closure": "This share class is closed to new investors", "maintenance-charge": "Adminstrationsgebühr", "morningstar.not-rated": "This fund is not yet rated.", "start-date": "Start Date", "expenses-collapse.cdsc": "CDSC", "minimum-subsequent-amount": "Minimum Subsequent Amount", "10-yr": "10 Yrs", "market-capitalisation-fund": "Fund", "fund-information": "Fund Information", "lowest-nav": "Lowest NAV", "etf-type": "ETF Type", "performance-discrete-component-heading": "Discrete Returns", "return-of-capital": "Return of Capital", "shareclass": "Share Class", "holdings": "Holdings", "dividend-frequency": "Häufigkeit", "factsheet": "Documents", "yield.w-waiver": "w/ waiver", "identifiers": "Identifiers", "standard-deviation": "Standard Deviation", "ia-sector": "IA Sector", "off": "Off", "xls-file-extension": "XLS", "10yr": "10 YR", "valeren": "Valor Symbol", "dividends": "Dividends", "total-net-assets": "Fondsvolumen", "7-day-effective-yield": "7 Day Effective Yield", "distribution-per-unit": "Distribution Per Unit", "performance-annualised-heading": "Annualized Performance", "download-all-holdings": "Download All Holdings", "statistics": "Statistics", "historical-data-daily-fund-prices": "Historical Data - Daily Fund Prices", "date": "Date", "poland-rfi": "RFI", "ytd-as-of": "mm/dd/yyyy", "since-inception": "Since inception", "etf-price-hist-asof-date-label": "NAV as of {asOfDate}", "fund-number": "Fonds-Nr", "download": "View", "reuters": "Reuters-Kürzel", "frequency-of-index-reconstitution": "Frequency of Index Reconstitution", "updated-monthly": "Updated monthly", "etf-dividend-hist-inception-date-label": "Inception Date", "pricing-3-years": "3 Yrs", "from": "From", "all": "All", "pricing-since-inception": "Since Inception", "historical-pricing-results": "Historical Pricing Results", "pop-or-nav": "", "shareclass-displayed": "Share Class All", "30-days-stand-yield": "30 Day Standardized Yield", "expenses-collapse.max": "Max", "5-yr": "5 Yrs", "dividends-per-share": "Dividends per share", "reinvestment-date": "Thesaurierend", "assetclass": "Asset Class", "distribution-rate": "Distribution Rate at", "management-charge": "Verwaltungsgebühr", "morningstar-rating": "Morningstar Rating", "expenses-collapse.gross": "Gross", "bt-annual-component-heading": "Annualised Total Returns1", "sales-fee": "Sales Fee", "bt-performance-investment-growth": "Investment Growth Of 10,000", "pricing-6-months": "6 Mths", "fiscal-year-end": "Fiscal Year End", "dividend-per-share": "Betrag pro Anteil", "geographic-breakdown-heading": "Geographic Allocation", "security-name": "Security Name", "search-fields": "Filter by Keyword", "add-to-factsheet-to-cart": "Add Fact Sheet to My Cart", "ucits": "UCITS", "nav-total-return-pop-or-nav.caveat": "", "yield-nb-fund-displayed": "Displaying 0 funds", "add-to-favourite.remove": "Remove from my Favorites", "pricing-5-years": "5 Yrs", "administrator": "Administrator", "risk-factor": "Risk Factor", "calculation-name": "% of Total (Exposure)", "shares-outstanding": "Shares Outstanding", "historical-data-distribution-rate-share": "Historical data distribution rate share", "total-annual-charge": "Jährliche Gebühr", "pricing-1-year": "1 Yr", "search.no-favorite": "There are no funds in your Favorite funds list.", "morningstar.rating-too-low": "We do not publish a Morningstar Rating for this fund.", "xls-download-error-msg": "ERROR: There is no data neither for the Fund ID nor for the Date Range selected", "on": "As at", "portfolio-statistics-heading": "Portfolio Statistics", "3-mth": "3 Mths", "custodian": "Depositary", "nb-funds-in-category": "Number of Funds in Category", "expenses-collapse.ratio": "Expense Ratio", "highest-nav": "Highest NAV", "daily-fund-prices": "Daily Fund Prices", "redemption-charge": "Redemption Charge", "minimum-trading": "Minimum Trading", "ex-dividend-date": "Ex-dividend date", "domicile": "Domicile", "quarter-end": "Quarter end", "expenses-collapse.net": "Net", "fund-name": "Name des Fonds", "methodology": "Methodology", "isin": "ISIN", 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