mirror of
https://gitlab.silvrtree.co.uk/martind2000/ft-webplatform.git
synced 2025-02-16 02:49:15 +00:00
271 lines
12 KiB
JSON
271 lines
12 KiB
JSON
{
|
|
"morningstar-as-of": "<span data-view=\"morningstar-as-of\">mm/dd/yyyy</span>",
|
|
"7-day-current-yield": "7 Day Current Yield",
|
|
"nav-change-percent": "Veränderung zum Vortag %",
|
|
"year": "Jahr",
|
|
"nav-as-of": "<span data-view=\"nav-as-of\">/dd/mm/yyyy</span>",
|
|
"etf-portfolio-header-row-label": "Portfolio Holdings für {Fund Name} am {date}",
|
|
"performance-nb-fund-displayed": "Displaying <span data-view=\"x-funds-performance\">0</span> funds",
|
|
"view-more": "Mehr Anzeigen",
|
|
"performance-tab": "Wertentwicklung",
|
|
"5yr": "5 Jahre",
|
|
"share-prices": "Anteilspreise",
|
|
"etf-portfolio-symbol-row-label": "Symbol",
|
|
"record-date": "Stichtag",
|
|
"salescharges": "Fondsgebühren",
|
|
"view-historical-price-data": "Historische Preisdaten anzeigen",
|
|
"distr-rate-as-of": "<span data-view=\"distr-rate-as-of\">dd/mm/yyyy</span>",
|
|
"wkn": "WKN",
|
|
"performance-fee": "Performance Fee",
|
|
"etf-divhist-col-names": "Stichtag,Ex-Tag,Zahltag, Ausschüttung pro Anteil (dynamicCurrency)",
|
|
"important-legal-title": "Wichtige Hinweise",
|
|
"ter": "Gesamtkosten-<br>quote",
|
|
"sector-allocation-heading": "Sektorallokation",
|
|
"1-yr": "1 Jahr",
|
|
"collapse-all": "Alle Zuklappen",
|
|
"etf-dividend-hist-sheet-name": "ETFDividendHistoryDetails",
|
|
"fund-base-currency": "Basiswährung",
|
|
"fund-category-as-of": "<span data-view=\"fund-category-as-of\">mm/dd/yyyy</span>",
|
|
"optional": "Optional",
|
|
"choose-historical-dates": "Benutzerdefinierten Zeitraum auswählen",
|
|
"etf-price-hist-sheet-name": "ETFPriceHistoryDetails",
|
|
"etf-price-hist-download-date-label": "Historische Preisergebnisse: Vom {beginDate} bis {endDate}",
|
|
"notional-value": "Nennwert",
|
|
"price-and-ytd-return": "Rücknahmepreis",
|
|
"etf-dividend-hist-currency-label": "Basiswährung",
|
|
"weighted-avg-market-cap": "Marktkapitalisierung",
|
|
"read-important": "<b>Read important information about performance results and other disclosures</b>",
|
|
"fund-based-currency": "Basiswährung",
|
|
"documents-label": "Dokumente",
|
|
"market-capitalisation-heading": "Marktkapitalisierung",
|
|
"ytd-total-ret": "Gesamt-<br>Rendite",
|
|
"etf-price-hist-xls-name": "PriceHistoryReportETF.xls",
|
|
"etf-price-hist-min-nav-label": "Niedrigster Rücknahmepreis im ausgewählten Zeitraum: {dynamicMinNav} am {dynamicDate}",
|
|
"pop": "POP",
|
|
"INTERIM-PROFIT": "ZWISCHEN-GEWINN",
|
|
"compare-selected-funds": "Compare Selected Funds",
|
|
"fundcategory": "Anlageschwerpunkt",
|
|
"ongoing-charges": "Laufende Kosten-Verhältnis",
|
|
"currency": "Basis-<br>währung",
|
|
"investment-universe": "Anlageuniversum",
|
|
"exchange-name": "Börse",
|
|
"etf-portfolio-col-names": "TICKER,ISIN,WERTPAPIERE NAME,SEKTOR,GEWICHTUNG (%),MARKTWERT (dynamicCurrency),NENNWERT (dynamicCurrency)",
|
|
"rs-information-ratio": "Information Ratio",
|
|
"pricing-1-month": "1 Monat",
|
|
"rs-correlation": "Correlation",
|
|
"[BASE-CURRENCY]": "BASIS-WAHRUNG",
|
|
"rs-tracking-error": "Tracking Error",
|
|
"download-label": "HERUNTERLADEN",
|
|
"distribution-date": "Zahltag",
|
|
"income-use": "Ertrags-<br>Verwendung",
|
|
"pricing-3-months": "3 Monate",
|
|
"month-end": "Monatsende",
|
|
"noResultsMessage": "Es wurden keine Suchergebnisse gefunden",
|
|
"to": "bis",
|
|
"investment_growth": "Investitionswachstum von 10,000",
|
|
"etf-dividend-hist-divdate-label": "Ausschüttungen Herunterladen : Vom {beginDate} bis {endDate}",
|
|
"isa-status": "ISA Status",
|
|
"reinvestment-amount": "Reinvestment Amount",
|
|
"sales-charges": "Fondsgebühren",
|
|
"symbol": "TICKER",
|
|
"use-of-income": "Ertragsverwendung",
|
|
"updated-daily": "(täglich aktualisiert)",
|
|
"cusip": "CUSIP",
|
|
"yield.wo-waiver": "w/o waiver",
|
|
"fundobjective": "Zusammenfassung der Anlageziele",
|
|
"6-mth": "6 Monate",
|
|
"maximum-initial-charge": "Ausgabeaufschlag",
|
|
"download-historical-price-data": "Historische Preise Herunterladen",
|
|
"no-distributions-paid-to-date": "Keine Ausschüttung in den letzten 12 Monaten.",
|
|
"etf-price-hist-inception-date-label": "Auflegungsdatum",
|
|
"3yr": "3 Jahre",
|
|
"no-information": "k.A",
|
|
"select-a-year": "Jahr auswählen",
|
|
"expenses-collapse": "Fondsgebühren",
|
|
"pop-or-nav.caveat": "<span data-view=\"popOrNavCaveat\"></span>",
|
|
"bt-performance-annual-component-heading": "Annualisierte Gesamtrendite",
|
|
"etf-portfolio-sheet-name": "ETFPortfolioDailyHoldings",
|
|
"no-data-available": "Back-Test Wertentwicklung Datum ist zur Zeit nicht verfügbar",
|
|
"trading-information": "Handelsinformationen",
|
|
"rs-beta": "Beta",
|
|
"ratings-tab": "Ratings",
|
|
"market-value": "Marktwert",
|
|
"sector": "Sektor",
|
|
"favouriteonly": "My Favorites Only",
|
|
"asset-class": "Fondsart",
|
|
"ytd": "Seit Jahresbeginn Bis Heute",
|
|
"weight": "Gewichtung",
|
|
"nav-net-asset-value": "",
|
|
"rs-r-squared": "R Squared",
|
|
"underlying-index": "Zugrunde liegender Index",
|
|
"net-expense-ratio": "Net Expense Ratio",
|
|
"etf-portfolio-xls-name": "PortfolioReportETF.xls",
|
|
"view-less": "Weniger Anzeigen",
|
|
"overall": "Insgesamt",
|
|
"bt-performance-calendar-component-heading": "Kalenderjahr-Renditen",
|
|
"region": "Region",
|
|
"next": "Erste",
|
|
"show": "Anzeige",
|
|
"funds-selected": "Funds Selected",
|
|
"1-mth": "1 Monat",
|
|
"life": "Seit Auflegung",
|
|
"product-structure": "Produktstruktur",
|
|
"rs-alpha": "Alpha",
|
|
"sharp-ratio": "Annualisiert Sharpe-Ratio",
|
|
"xls-font-style": "Calibri",
|
|
"as-of": "Stand",
|
|
"dist-rate-pop-or-nav.caveat": "<span data-view=\"distRatePopOrNavCaveat\"></span>",
|
|
"highest-lowest-nav": "Höchster Und Niedrigster Rücknahmepreis",
|
|
"ticker": "Ticker",
|
|
"previous": "Vorherige",
|
|
"3-yr": "3 Jahre",
|
|
"money-funds": "Geldmarktfonds/Geldmarktnahe Fonds",
|
|
"go": "Los",
|
|
"pricing-ytd": "Seit Jahresbeginn Bis Heute",
|
|
"yeild-to-maturity": "Rückzahlungsrendite",
|
|
"standard-yield-as-of": "<span data-view=\"standard-yield-as-of\">/dd/mm/yyyy</span>",
|
|
"nav-total-return": "Annualisierte Gesamtrendite",
|
|
"view-historical-dividends-data": "Historische Ausschüttungen Anzeigen",
|
|
"performance-risk-statistics-component-heading": "Risikokennzahlen",
|
|
"search.no-result": "Leider konnten zu Ihrer Suche keine passenden Fonds gefunden werden.",
|
|
"etf-dividend-hist-xls-name": "DividendHistoryReportETF.xls",
|
|
"add-to-favourite.add": "Add to my Favorites",
|
|
"footnotes": "Fußnoten",
|
|
"pricing": "Historische Preise",
|
|
"morningstar-category": "Morningstar Category™",
|
|
"etf-price-hist-max-nav-label": "Höchster Rücknahmepreis im ausgewählten Zeitraum: {dynamicMaxNav} am {dynamicDate}",
|
|
"interim-profit": "Zwischen<br>gewinn",
|
|
"performance-cumulative-component-heading": "Kumuliert",
|
|
"etf-pricehist-col-names": "Datum,Rücknahmepreis (dynamicCurrency),Veränderung zum Vortag (dynamicCurrency),Veränderung zum Vortag (%)",
|
|
"inception": "Auflegungsdatum",
|
|
"life-of-fund": "Seit Auflegung",
|
|
"1yr": "1 Jahr",
|
|
"nav-change": "Veränderung <br>zum Vortag",
|
|
"ric": "Reuters",
|
|
"fund-admin-fee": "Fund Admin Fee",
|
|
"bt-performance-cumulative-component-heading": "Kumulative Gesamterträge",
|
|
"select-exchange": "Börse auswählen",
|
|
"performance-calendar-component-heading": "Kalenderjahr",
|
|
"ratings-nb-fund-displayed": "Displaying <span data-view=\"x-funds-ratings\">0</span> funds",
|
|
"trading-characteristics": "Handelsmerkmale",
|
|
"no-results-message": "Keine passenden Ergebnisse gefunden Bitte ändern Sie Ihre Suchkriterien und versuchen Sie es erneut.",
|
|
"fav": "FAV",
|
|
"fund-inception-date": "Auflegungsdatum",
|
|
"calculation-name-std": "Investment Management (%)",
|
|
"nav": "Rücknahmepreis",
|
|
"bloomberg-ticker": "Bloomberg",
|
|
"minimum-initial-amount": "Minimaler Anfangsbetrag",
|
|
"sedol": "SEDOL",
|
|
"kstg-equity-gain": "AKTIENGEWINN KSTG (%)",
|
|
"download-distributions-data": "Historische Ausschüttungen Herunterladen",
|
|
"distributions": "Ausschüttungen",
|
|
"list-all-exchanges": "Alle Börsen auflisten",
|
|
"expenses-collapse.sales-charges": "Fondsgebühren",
|
|
"distribution-yield": "Ausschüttungsrendite",
|
|
"equity-gain": "AKTIENGEWINN ESTG (%)",
|
|
"yield-tab": "Erträge",
|
|
"flag.hard-closure": "Geschlossen zu allen Investitionen",
|
|
"inception-date": "Auflegungs-<br>datum",
|
|
"weighted-average-maturity": "Gewichtete durchschnittliche Restlaufzeit",
|
|
"status": "Fund Status",
|
|
"flag.soft-closure": "Diese Anteilsklasse ist für neue Investoren geschlossen",
|
|
"maintenance-charge": "Adminstrationsgebühr",
|
|
"real-estate-gain": "Immobilien<br>gewinn",
|
|
"morningstar.not-rated": "Dieser Fonds ist noch nicht bewertet.",
|
|
"expenses-collapse.cdsc": "CDSC",
|
|
"minimum-subsequent-amount": "Mindestnachtragsbetrag",
|
|
"10-yr": "10 Jahre",
|
|
"market-capitalisation-fund": "Fonds",
|
|
"top": "Oben",
|
|
"fund-information": "Fondsinformationen",
|
|
"lowest-nav": "Niedrigster Rücknahmepreis",
|
|
"etf-type": "Art von ETF",
|
|
"performance-discrete-component-heading": "Jährliche",
|
|
"shareclass": "Anteilsklasse",
|
|
"holdings": "Holdings",
|
|
"dividend-frequency": "Häufigkeit",
|
|
"factsheet": "Dokumente",
|
|
"yield.w-waiver": "w/ waiver",
|
|
"identifiers": "Fondskennnummern",
|
|
"standard-deviation": "Annualisiert Standardabweichung",
|
|
"accumulated-deemed-dist": "AKKUMULIERTE AUSSCHÜTTUNGSGLEICHE ERTRÄGE",
|
|
"off": "Aus",
|
|
"xls-file-extension": "XLS",
|
|
"10yr": "10 Jahre",
|
|
"dividends": "Ausschüttungen",
|
|
"total-net-assets": "Fondsvolumen",
|
|
"7-day-effective-yield": "7 Day Effective Yield",
|
|
"distribution-per-unit": "Ausschüttung pro Anteil",
|
|
"performance-annualised-heading": "Annualized Performance",
|
|
"download-all-holdings": "Alle Holdings Herunterladen",
|
|
"statistics": "Risikokennzahlen",
|
|
"historical-data-daily-fund-prices": "Historische Preise",
|
|
"date": "Datum",
|
|
"ytd-as-of": "<span data-view=\"ytd-as-of\">dd/mm/yyyy</span>",
|
|
"since-inception": "Seit Auflegung",
|
|
"etf-price-hist-asof-date-label": "Rücknahmepreis Stand {asOfDate}",
|
|
"download": "Ansehen",
|
|
"frequency-of-index-reconstitution": "Häufigkeit der Index-Neuaufstellung",
|
|
"pb-ratio": "Kurs-Buchwert-Verhältnis",
|
|
"updated-monthly": "(monatlich aktualisiert)",
|
|
"etf-dividend-hist-inception-date-label": "Auflegungsdatum",
|
|
"total-expenses": "Gesamtkostenquote",
|
|
"pricing-3-years": "3 Jahre",
|
|
"from": "Vom",
|
|
"yeild-to-worst": "Niedrigste Rendite (YTW)",
|
|
"all": "Alle",
|
|
"pricing-since-inception": "Seit Auflegung",
|
|
"historical-pricing-results": "Historische Preisergebnisse",
|
|
"pop-or-nav": "<span data-view=\"popOrNav\"></span>",
|
|
"shareclass-displayed": "Anteilsklasse <span data-view=\"share-class-displayed\">All</span>",
|
|
"30-days-stand-yield": "30 Day Standardized Yield",
|
|
"expenses-collapse.max": "Max",
|
|
"no-pricing-distribution-data": "Preise und Ausschüttungsdaten sind derzeit nicht verfügbar",
|
|
"5-yr": "5 Jahre",
|
|
"dividends-per-share": "Ausschüttung pro Anteil",
|
|
"reinvestment-date": "Thesaurierend",
|
|
"assetclass": "Fondsart",
|
|
"distribution-rate": "Ausschüttung",
|
|
"management-charge": "Verwaltungsgebühr",
|
|
"morningstar-rating": "Morningstar Rating™ Gesamt",
|
|
"expenses-collapse.gross": "Brutto",
|
|
"bt-annual-component-heading": "Annualisierte Gesamtrendite",
|
|
"bt-performance-investment-growth": "Investitionswachstum von 10,000",
|
|
"pricing-6-months": "6 Monate",
|
|
"fiscal-year-end": "Geschäftsjahresende",
|
|
"dividend-per-share": "Betrag pro Anteil",
|
|
"geographic-breakdown-heading": "Ländergewichtung",
|
|
"security-name": "Wertpapiername",
|
|
"search-fields": "Nach Schlüsselwort filtern",
|
|
"add-to-factsheet-to-cart": "Add Fact Sheet to My Cart",
|
|
"ucits": "OGAW",
|
|
"nav-total-return-pop-or-nav.caveat": "<span data-view=\"navTotalRetPopOrNavCaveat\"></span>",
|
|
"yield-nb-fund-displayed": "Displaying <span data-view=\"x-funds-yield-and-price\">0</span> funds",
|
|
"add-to-favourite.remove": "Remove from my Favorites",
|
|
"pricing-5-years": "5 Jahre",
|
|
"administrator": "Verwalter",
|
|
"calculation-name": "% of Total (Exposure)",
|
|
"shares-outstanding": "Umlaufende Anteile",
|
|
"historical-data-distribution-rate-share": "Historische Ausschüttungen",
|
|
"pricing-1-year": "1 Jahr",
|
|
"search.no-favorite": "There are no funds in your Favorite funds list.",
|
|
"morningstar.rating-too-low": "Wir veröffentlichen keine Morningstar Bewertung für diesen Fonds.",
|
|
"xls-download-error-msg": "79/5000\nFEHLER: Es gibt keine Daten weder für die Fonds-ID noch für den ausgewählten Datumsbereich",
|
|
"on": "Am",
|
|
"portfolio-statistics-heading": "Portfoliokennzahlen",
|
|
"3-mth": "3 Monate",
|
|
"custodian": "Depotbank",
|
|
"nb-funds-in-category": "Anzahl der Fonds in der Kategorie",
|
|
"expenses-collapse.ratio": "Kostenquote",
|
|
"highest-nav": "Höchster Rücknahmepreis",
|
|
"daily-fund-prices": "Tägliche Fondspreise",
|
|
"ex-dividend-date": "Ex-Tag",
|
|
"expand-all": "Alle Aufklappen",
|
|
"domicile": "Sitz",
|
|
"quarter-end": "Quartalsende",
|
|
"expenses-collapse.net": "Netz",
|
|
"fund-name": "Name des Fonds",
|
|
"methodology": "Methodik",
|
|
"isin": "ISIN"
|
|
}
|