NAV10/10/2024 Chg.+0.2710 Type de rendement Focus sur l'investissement Société de fonds
11.5120USD +2.41% reinvestment Equity Mixed Sectors Allianz Gl.Investors 
 

Performance mensuelle

  janv. févr. mars avr. mai juin juil. août sept. oct. nov. déc. Total
2011 - -2.64 4.23 0.62 -1.14 -2.93 -4.42 -8.91 -16.09 15.78 -6.24 0.82 -25.80%
2012 9.43 7.14 -7.24 1.73 -10.23 1.76 0.53 -2.12 5.83 4.48 1.10 4.97 +16.71%
2013 2.89 -2.92 -4.97 0.73 1.45 -8.21 3.50 3.63 4.47 4.05 4.56 -0.64 +7.85%
2014 -6.53 1.72 -3.15 -3.02 3.48 3.36 6.95 0.10 -4.82 4.18 0.63 4.30 +6.42%
2015 0.30 1.91 4.04 19.11 -0.56 -7.03 -11.25 -11.23 0.22 7.29 -1.62 -0.82 -3.22%
2016 -13.10 -0.96 10.99 -1.63 -1.44 0.90 3.00 6.91 1.82 -1.19 -0.70 -3.64 -0.94%
2017 5.25 1.69 1.18 1.16 4.31 1.10 6.90 2.97 -1.32 3.76 1.13 3.11 +35.78%
2018 10.97 -5.36 -3.75 0.46 2.13 -6.04 -2.22 -4.30 0.68 -11.11 5.68 -4.84 -17.93%
2019 8.85 3.89 1.58 0.82 -9.02 6.26 -0.34 -5.40 0.18 3.29 0.95 7.26 +18.27%
2020 -5.97 2.37 -6.70 6.56 1.41 12.55 11.44 5.69 -3.53 4.55 4.54 3.99 +41.08%
2021 5.98 -0.43 -5.88 3.41 1.43 -0.81 -12.51 0.00 -3.87 3.25 -6.04 -2.48 -17.78%
2022 -3.16 -1.91 -9.47 -3.59 1.24 5.31 -9.08 -0.85 -13.35 -16.70 29.00 6.38 -21.07%
2023 10.61 -12.42 2.62 -6.49 -8.49 3.79 11.09 -8.56 -3.03 -4.23 1.98 -4.25 -18.67%
2024 -10.27 8.54 0.00 4.98 2.42 -2.00 -3.27 0.65 22.62 0.47 - - -

Valeurs calculées

  CAD 6 Mois 1 An 3 Ans 5 Ans
Volatilité 24.80% 26.19% 24.26% 28.59% 26.24%
Ratio de Sharpe 1.11 1.81 0.53 -0.47 -0.11
Le meilleur mois +22.62% +22.62% +22.62% +29.00% +29.00%
Le plus défavorable mois -10.27% -3.27% -10.27% -16.70% -16.70%
Perte maximale -14.57% -14.57% -18.71% -49.57% -60.59%
Surperformance +2.19% - +3.39% +2.07% -28.90%
 
Toutes les cotations dans USD

Tranches

Nom   Type de rendement Prix de rachat 1 An 3 Ans
Allianz China Equity - IT - USD reinvestment 2,918.6499 +17.37% -25.02%
Allianz China Equity - PT - EUR reinvestment 1,812.6200 +13.86% -20.85%
Allianz China Equity - P - USD paying dividend 1,297.2700 +17.31% -25.13%
Allianz China Equity - WT - HKD reinvestment 1,800.0300 +17.05% -24.34%
Allianz China Equity - W - EUR paying dividend 1,350.9800 +14.01% -19.89%
Allianz China Equity - AT - SGD reinvestment 13.7530 +11.79% -28.89%
Allianz China Equity - CT - EUR reinvestment 178.9100 +11.81% -24.84%
Allianz China Equity - A - EUR paying dividend 130.9000 +12.83% -22.97%
Allianz China Equity - AT - USD reinvestment 11.5120 +16.18% -27.28%
Allianz China Equity - A - HKD paying dividend 11.4220 +15.48% -27.29%
Allianz China Equity - RT - USD reinvestment 15.9970 +17.20% -25.39%
AGIF-Allianz China Equity AT CNY... reinvestment 16.0560 +12.81% -31.71%
Allianz China Equity - AT - EUR reinvestment 113.2000 +7.81% -
Allianz China Equity - AT3 - EUR reinvestment 100.6500 - -
Allianz China Equity - A - USD paying dividend 57.8410 +16.23% -27.23%

Performance

CAD  
+23.09%
6 Mois  
+22.81%
1 An  
+16.18%
3 Ans
  -27.28%
5 Ans  
+2.06%
10 ans  
+25.95%
Depuis le début  
+15.12%
Année
2023
  -18.67%
2022
  -21.07%
2021
  -17.78%
2020  
+41.08%
2019  
+18.27%
2018
  -17.93%
2017  
+35.78%
2016
  -0.94%
2015
  -3.22%