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    11.912,00
     
    JPY
    +0,73 %
    +86,00 JPY
    Letzter Kurs 24.04.24 KAG Kurs
    9.515,00
     
    JPY
     
    Rücknahmekurs 01.02.22
     
     
    Ausgabekurs 01.02.22
    ISIN: LU0069970662 · WKN: 986475 · SYM: 986475 ·


    Performance


    Die Performance der BNP Paribas Funds SICAV - Japan Small Cap Classic DISTRIBUTION liefert Statistiken zur Entwicklung des Aktienbarometers auf Monatsbasis. Die Wertentwicklung des BNP Paribas Funds SICAV - Japan Small Cap Classic DISTRIBUTION (LU0069970662) wird für jeden einzelnen Monat unter Berücksichtigung jeglicher Performances berechnet.


    Performance

    Lfd. Jahr1 Monat3 Monate6 Monate1 Jahr5 Jahre
    Performance+2,50 %-3,22 %-2,05 %-0,59 %+0,64 %-4,52 %
    Hoch----9.968,00-
    Tief----8.742,00-
    Volatilität------

    Hoch-/Tief-Kurse

    JahrJahresstartJahresende%
    20240,000-+2,50 %
    20230,00010.970,00+inf %
    202210.716,009.149,00-14,62 %
    20219.340,0010.608,00+13,58 %
    20208.462,009.411,00+11,21 %
    20197.202,008.508,00+18,13 %
    201810.343,007.281,00-29,60 %
    20177.323,0010.118,00+38,17 %
    20166.362,007.181,00+12,87 %
    20155.917,006.540,00+10,53 %
    20145.220,005.925,00+13,51 %
    20133.420,005.217,00+52,54 %
    20122.701,003.350,00+24,03 %
    20112.854,002.675,00-6,27 %
    20102.712,002.802,00+3,32 %
    20092.362,002.695,00+14,10 %
    20084.640,002.337,00-49,63 %
    20075.996,004.781,00-20,26 %
    20067.101,005.945,99-16,27 %
    200532,027.612,36+23.673,77 %
    20044.102,774.797,21+16,93 %
    200316,5427,77+67,82 %
    200219,5016,54-15,14 %
    200121,9119,50-11,00 %
    200033,6521,91-34,89 %
    199917,2633,65+94,98 %
    199817,2617,26-0,01 %
    199731,7317,26-45,60 %
    199631,9231,73-0,58 %

    Rendite-Dreieck

    200417,177.65
    20051,555.8058.68
    2006498.2811.33-21.89
    2007262.25-0.11-20.75-19.59
    2008142.68-16.46-32.54-37.31-51.12
    2009114.38-10.89-22.86-23.19-24.9215.32
    201093.32-8.57-18.12-17.15-16.319.503.97
    201177.00-8.01-16.00-14.76-13.514.61-0.37-4.53
    201270.33-4.39-11.06-9.12-6.879.427.529.3425.23
    201368.810.94-4.61-1.851.4717.4217.9523.0239.6555.73
    201462.832.13-2.75-0.043.1116.7717.0620.5930.3532.9913.57
    201557.642.86-1.511.063.9915.8415.9218.4725.0424.9811.9610.38
    201653.323.42-0.531.914.6215.0615.0316.9821.8421.0011.2410.099.80
    201752.405.912.404.957.7817.6817.9820.1324.8224.7418.0119.5324.3840.90
    201844.963.03-0.341.703.9012.0311.6812.6815.3813.816.895.293.640.69-28.04
    201943.023.890.802.794.9212.4612.1813.1315.5614.248.497.506.805.82-8.3016.85
    202040.874.301.423.335.3512.3112.0412.8815.0013.788.798.027.556.99-2.3913.6910.61
    202139.144.782.103.935.8612.3412.1012.8714.7713.669.288.688.408.121.1913.3711.6612.72
    202235.683.651.092.734.4210.249.8610.3611.8310.576.445.584.914.12-1.995.882.45-1.40-13.75
    202334.854.452.053.675.3310.8610.5511.0712.4811.397.727.086.686.241.368.546.565.241.6919.90
    Ø1,026.263.21-7.95-5.70-3.8712.7911.6813.6221.0021.5410.249.139.0210.41-6.3611.677.825.52-6.0319.90
    20032004200520062007200820092010201120122013201420152016201720182019202020212022

    Renditeverteilung

    > +50%2023, 2013, 2005, 2003, 1999
    +50%Kein Jahr mit entsprechender Performance
    +40%2017
    +30%2012
    +20%2021, 2020, 2019, 2016, 2015, 2014, 2009, 2004
    +10%2010
    -10%2011, 1998, 1996
    -20%2022, 2006, 2002, 2001
    -30%2018, 2007
    -40%2000
    -50%2008, 1997
    < -50%Kein Jahr mit entsprechender Performance
     
     
    -50%+50%
     
     
    -40%+40%
     
     
    -30%+30%
     
     
    -20%+20%
     
     
    -10%+10%
     
     
    -0%+0%