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    2.046,00
     
    JPY
    -1,30 %
    -27,00 JPY
    Letzter Kurs 22.05.24 KAG Kurs
    1.855,00
     
    JPY
     
    Rücknahmekurs 02.02.22
     
     
    Ausgabekurs 02.02.22
    ISIN: LU0100600799 · WKN: 921816 · SYM: 921816 ·


    Performance


    Die Performance der Invesco Nippon Small/Mid Cap Equity Fund C accumulation - JPY liefert Statistiken zur Entwicklung des Aktienbarometers auf Monatsbasis. Die Wertentwicklung des Invesco Nippon Small/Mid Cap Equity Fund C accumulation - JPY (LU0100600799) wird für jeden einzelnen Monat unter Berücksichtigung jeglicher Performances berechnet.


    Performance

    Lfd. Jahr1 Monat3 Monate6 Monate1 Jahr5 Jahre
    Performance-1,34 %-1,23 %-3,56 %-5,37 %-4,24 %-5,27 %
    Hoch----1.927,00-
    Tief----1.592,00-
    Volatilität------

    Hoch-/Tief-Kurse

    JahrJahresstartJahresende%
    20240,000--1,34 %
    20230,0001.997,00+inf %
    20222.044,001.785,00-12,67 %
    20211.954,002.089,00+6,91 %
    20201.769,001.954,00+10,46 %
    20191.525,001.769,00+16,00 %
    20181.867,001.525,00-18,32 %
    20171.301,001.867,00+43,50 %
    20161.126,001.301,00+15,54 %
    20151.114,001.143,00+2,60 %
    20141.133,001.114,00-1,68 %
    2013582,001.133,00+94,67 %
    2012536,00564,00+5,22 %
    2011619,00536,00-13,41 %
    2010671,00614,00-8,49 %
    2009586,00667,00+13,82 %
    2008993,00589,00-40,68 %
    20071.181,00993,00-15,92 %
    20061.753,401.156,24-34,06 %
    20051.115,021.626,57+45,88 %
    2004852,961.051,57+23,28 %
    2003702,58849,43+20,90 %
    20021.125,18686,35-39,00 %

    Rendite-Dreieck

    200423.80
    200538.3854.68
    200610.834.86-28.92
    20073.98-1.89-21.87-14.12
    2008-7.06-13.49-28.72-28.63-40.68
    2009-3.95-8.70-19.98-16.75-18.0413.24
    2010-4.53-8.58-17.70-14.64-14.812.10-7.95
    2011-5.59-9.18-16.89-14.25-14.29-3.09-10.36-12.70
    2012-4.45-7.49-14.04-11.28-10.70-1.08-5.44-4.165.22
    20132.920.83-4.42-0.292.2213.9814.1622.6645.39100.89
    20142.500.58-4.12-0.461.6611.2110.8016.0627.6240.54-1.68
    20152.500.76-3.47-0.131.779.939.3913.2320.8426.550.442.60
    20163.331.79-2.011.193.0510.4110.0113.3319.4023.244.728.0713.82
    20175.794.511.164.456.5213.6813.7317.2223.1227.0513.3018.7827.8143.50
    20183.982.69-0.492.333.989.989.6212.0416.1118.036.128.1710.098.27-18.32
    20194.693.530.603.334.9310.5110.2512.4816.1017.747.719.6911.5410.79-2.6616.00
    20205.023.951.233.825.3410.5110.2612.2715.4616.808.109.8211.3210.701.5313.2010.46
    20215.134.121.584.025.4610.239.9811.7714.5715.667.959.4010.579.932.8511.068.676.91
    20223.992.980.552.753.998.247.879.3011.5612.215.186.076.585.41-0.894.010.30-4.42-14.55
    20234.373.431.153.274.468.488.159.5011.5812.185.836.707.226.311.135.543.080.73-2.2311.88
    Ø4.782.07-8.69-4.43-3.458.566.4610.2318.9128.265.778.8112.3713.56-2.739.965.631.07-8.3911.88
    20032004200520062007200820092010201120122013201420152016201720182019202020212022

    Renditeverteilung

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