checkAd
    51,16
     
    GBP
    +0,12 %
    +0,06 GBP
    Letzter Kurs 23.04.24 KAG Kurs
    57,86
     
    GBP
     
    Rücknahmekurs 31.01.22
    60,75
     
    GBP
     
    Ausgabekurs 31.01.22
    ISIN: LU0119096559 · WKN: 541285 · SYM: 541285 ·


    Performance


    Die Performance der Emerging Markets Equity Fund Ad GBP liefert Statistiken zur Entwicklung des Aktienbarometers auf Monatsbasis. Die Wertentwicklung des Emerging Markets Equity Fund Ad GBP (LU0119096559) wird für jeden einzelnen Monat unter Berücksichtigung jeglicher Performances berechnet.


    Performance

    Lfd. Jahr1 Monat3 Monate6 Monate1 Jahr5 Jahre
    Performance-3,18 %-2,67 %-10,61 %+4,03 %-5,49 %+9,00 %
    Hoch----55,80-
    Tief----45,86-
    Volatilität------

    Hoch-/Tief-Kurse

    JahrJahresstartJahresende%
    20240,000--3,18 %
    20230,00050,86+inf %
    202261,8250,98-17,53 %
    202168,7161,61-10,33 %
    202053,8667,73+25,75 %
    201942,1852,83+25,25 %
    201848,0942,00-12,66 %
    201736,8047,57+29,27 %
    201626,7036,80+37,83 %
    201531,9727,37-14,39 %
    201430,2831,85+5,18 %
    201333,4430,44-8,97 %
    201229,9932,78+9,30 %
    201136,7429,27-20,33 %
    201029,8236,10+21,06 %
    200919,7829,50+49,14 %
    200830,0019,34-35,53 %
    200723,2130,00+29,26 %
    200619,2222,78+18,52 %
    200511,9519,15+60,26 %
    20049,69511,81+21,80 %
    20037,9829,633+20,68 %
    200210,758,224-23,49 %

    Rendite-Dreieck

    200422.58
    200541.0062.18
    200633.2338.8918.94
    200732.8436.4525.1631.70
    200814.9613.130.33-7.86-35.53
    200920.5120.0911.409.00-0.8452.53
    201020.7720.4713.5212.206.3636.6222.37
    201114.9013.857.335.14-0.6114.81-0.39-18.92
    201214.5813.617.986.251.7914.103.58-4.7111.99
    201312.1911.095.964.230.249.500.79-5.531.98-7.14
    201411.4810.435.814.280.868.671.54-3.082.86-1.434.63
    20159.097.943.642.06-1.145.09-1.24-5.39-1.66-5.84-5.18-14.07
    201610.869.946.124.912.308.373.210.324.692.936.537.4934.45
    201712.0811.317.886.924.7210.526.154.028.437.7311.8114.3131.8329.27
    201810.319.496.235.233.118.064.001.915.294.226.657.1615.346.83-11.71
    201911.2210.507.526.694.839.576.004.327.667.069.6210.6517.8712.815.3825.79
    202012.1611.538.798.096.4611.017.856.499.779.5012.1013.4019.8716.4812.5026.9928.20
    202110.8610.217.586.865.279.326.334.987.737.269.219.8814.4810.866.6813.627.99-9.04
    20229.178.465.935.163.607.174.302.925.174.525.906.069.295.581.394.96-1.18-13.24-17.25
    20238.687.995.584.843.356.663.972.674.714.075.275.348.054.731.123.90-0.95-9.11-9.14-0.24
    Ø16.6717.248.656.810.3014.134.89-0.775.722.996.656.6918.9012.362.5615.058.52-10.46-13.20-0.24
    20032004200520062007200820092010201120122013201420152016201720182019202020212022

    Renditeverteilung

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