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    1.778,00
     
    JPY
    -1,28 %
    -23,00 JPY
    Letzter Kurs 22.05.24 KAG Kurs
    1.634,00
     
    JPY
     
    Rücknahmekurs 02.02.22
     
     
    Ausgabekurs 02.02.22
    ISIN: LU0028119526 · WKN: 973793 · SYM: 973793 ·


    Performance


    Die Performance der Invesco Nippon Small/Mid Cap Equity Fund A accumulation - JPY liefert Statistiken zur Entwicklung des Aktienbarometers auf Monatsbasis. Die Wertentwicklung des Invesco Nippon Small/Mid Cap Equity Fund A accumulation - JPY (LU0028119526) wird für jeden einzelnen Monat unter Berücksichtigung jeglicher Performances berechnet.


    Performance

    Lfd. Jahr1 Monat3 Monate6 Monate1 Jahr5 Jahre
    Performance-1,53 %-1,28 %-3,69 %-5,64 %-4,82 %-8,06 %
    Hoch----1.690,00-
    Tief----1.399,00-
    Volatilität------

    Hoch-/Tief-Kurse

    JahrJahresstartJahresende%
    20240,000--1,53 %
    20230,0001.739,00+inf %
    20221.801,001.564,00-13,16 %
    20211.733,001.841,00+6,23 %
    20201.578,001.733,00+9,82 %
    20191.369,001.579,00+15,34 %
    20181.685,001.369,00-18,75 %
    20171.182,001.685,00+42,55 %
    20161.028,001.182,00+14,98 %
    20151.024,001.044,00+1,95 %
    20141.048,001.024,00-2,29 %
    2013542,001.048,00+93,36 %
    2012503,00525,00+4,37 %
    2011584,00503,00-13,87 %
    2010635,00579,00-8,82 %
    2009558,00632,00+13,26 %
    2008951,00561,00-41,01 %
    20071.138,00951,00-16,43 %
    20061.546,001.115,64-27,84 %
    2005982,001.577,47+60,64 %
    2004790,001.024,82+29,72 %
    2003563,00790,00+40,32 %
    2002842,00563,00-33,14 %
    2001926,00842,00-9,07 %
    20002.162,00926,00-57,17 %
    1999457,002.096,00+358,64 %

    Rendite-Dreieck

    200429.72
    200541.3153.93
    200612.194.34-29.28
    20074.75-2.46-22.36-14.76
    2008-6.62-13.98-29.15-29.09-41.01
    2009-3.65-9.22-20.44-17.26-18.4812.66
    2010-4.34-9.08-18.16-15.12-15.241.59-8.39
    2011-5.49-9.67-17.35-14.73-14.72-3.57-10.79-13.13
    2012-4.44-8.02-14.54-11.81-11.20-1.64-6.00-4.784.37
    20132.870.25-4.98-0.891.6313.3113.4821.8744.3499.62
    20142.39-0.01-4.69-1.071.0610.5510.1315.3226.7439.66-2.29
    20152.350.17-4.04-0.731.179.288.7312.5120.0325.75-0.191.95
    20163.151.20-2.590.582.459.769.3612.6318.6322.494.097.4413.22
    20175.563.900.553.825.8913.0013.0416.4922.3226.2712.6118.0627.0442.55
    20183.732.09-1.081.723.379.338.9711.3615.3817.325.497.539.457.62-18.75
    20194.422.920.012.714.329.869.5911.7915.3717.047.079.0510.9010.13-3.2015.34
    20204.733.340.633.204.729.859.6011.5914.7316.107.459.1610.6710.040.9412.519.75
    20214.813.510.973.404.839.579.3211.0913.8514.967.308.749.929.272.2410.387.986.23
    20223.662.38-0.052.133.377.607.228.6310.8611.534.555.445.944.78-1.483.39-0.32-5.00-15.05
    20234.022.820.542.653.847.837.508.8310.8911.505.196.066.595.670.534.902.440.12-2.8111.19
    Ø5.261.49-9.22-5.01-4.007.935.849.5518.1327.485.138.1611.7212.87-3.299.304.960.45-8.9311.19
    20032004200520062007200820092010201120122013201420152016201720182019202020212022

    Renditeverteilung

    > +50%2023, 2013, 2005, 1999
    +50%2017, 2003
    +40%Kein Jahr mit entsprechender Performance
    +30%2004
    +20%2019, 2016, 2009
    +10%2021, 2020, 2015, 2012
    -10%2014, 2010, 2001
    -20%2022, 2018, 2011, 2007
    -30%2006
    -40%2002
    -50%2008
    < -50%2000
     
     
    -50%+50%
     
     
    -40%+40%
     
     
    -30%+30%
     
     
    -20%+20%
     
     
    -10%+10%
     
     
    -0%+0%