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    241,79
     
    USD
    +0,20 %
    +0,48 USD
    Letzter Kurs 17.04.24 KAG Kurs
    240,01
     
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    Rücknahmekurs 02.02.22
    240,01
     
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    Ausgabekurs 02.02.22
    ISIN: LU0119620176 · WKN: 579992 · SYM: 579992 ·


    Performance


    Die Performance der Global Brands Fund I liefert Statistiken zur Entwicklung des Aktienbarometers auf Monatsbasis. Die Wertentwicklung des Global Brands Fund I (LU0119620176) wird für jeden einzelnen Monat unter Berücksichtigung jeglicher Performances berechnet.


    Performance

    Lfd. Jahr1 Monat3 Monate6 Monate1 Jahr5 Jahre
    Performance+7,79 %+3,61 %+2,27 %+13,64 %+0,53 %+57,32 %
    Hoch----227,61-
    Tief----184,76-
    Volatilität------

    Hoch-/Tief-Kurse

    JahrJahresstartJahresende%
    20240,000-+7,79 %
    20230,000242,95+inf %
    2022250,15208,64-16,59 %
    2021208,18252,54+21,31 %
    2020184,24206,50+12,08 %
    2019140,33183,23+30,57 %
    2018144,02141,75-1,58 %
    2017114,45144,70+26,43 %
    2016106,50114,84+7,83 %
    2015102,37109,26+6,73 %
    201493,68103,35+10,32 %
    201383,0593,67+12,78 %
    201273,0881,44+11,45 %
    201165,1372,81+11,80 %
    201076,8964,67-15,90 %
    200959,3776,93+29,57 %
    200881,8458,91-28,02 %
    200775,9983,16+9,43 %
    200653,1475,99+43,00 %
    200541,5872,16+73,55 %
    200453,3756,09+5,10 %
    200337,1339,45+6,26 %
    200262,3537,13-40,44 %

    Rendite-Dreieck

    200442.18
    200535.2428.64
    200624.4216.395.31
    200720.4914.027.359.43
    20088.351.23-6.54-11.95-29.16
    200911.776.521.610.41-3.8230.58
    20107.312.40-2.17-3.95-8.044.77-15.94
    20117.963.800.15-0.85-3.277.32-2.7112.59
    20128.394.771.741.16-0.428.431.9212.2211.86
    20139.035.863.313.032.009.725.0413.1513.4215.01
    20149.156.304.073.923.159.826.0812.4412.3812.6510.34
    20158.866.254.244.123.479.236.0211.0610.6810.298.005.72
    20168.576.154.314.223.658.705.8910.049.548.977.035.415.11
    20179.737.565.976.035.7010.508.2212.1912.1312.1811.4911.8715.0826.00
    20188.906.855.335.334.979.187.0310.319.989.688.648.229.0711.10-2.04
    201910.078.216.887.006.8010.879.0712.2712.2312.2811.8312.1313.8016.8512.5329.26
    202010.238.497.267.407.2511.029.3912.3112.2812.3311.9612.2313.5815.8012.5920.7012.70
    202110.869.258.148.348.2611.8510.4113.1813.2413.4013.2013.6114.9917.0714.9421.2317.4022.30
    20229.167.576.446.526.329.457.9810.2510.049.869.319.189.6810.467.5910.154.420.52-17.38
    20239.518.026.987.086.939.918.5610.7210.5610.4510.009.9610.5111.309.0211.387.315.57-1.9216.44
    Ø13.518.333.913.370.8610.764.7811.7511.5311.5510.189.8211.4815.519.1018.5410.469.46-9.6516.44
    20032004200520062007200820092010201120122013201420152016201720182019202020212022

    Renditeverteilung

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