AMUNDI FUNDS GLOBAL EQUITY INCOME ESG - E2 EUR QTI/  LU1883321967  /

Fonds
NAV2024-11-04 Chg.-0.0070 Type of yield Investment Focus Investment company
5.7500EUR -0.12% paying dividend Equity Worldwide Amundi Luxembourg 
  • Dividends adjusted Dividends adjusted

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2019 - - - - - - 2.78 -0.78 3.89 -0.04 2.76 0.82 -
2020 -0.32 -8.02 -11.33 7.67 2.12 2.13 -2.83 3.80 -3.32 -2.88 10.51 2.45 -2.12%
2021 0.14 3.01 7.36 -0.56 0.37 3.03 1.65 3.64 -2.15 3.49 0.02 4.89 +27.46%
2022 0.41 -1.99 2.46 0.17 -0.30 -5.46 6.45 -2.27 -5.75 7.48 3.10 -5.78 -2.53%
2023 1.62 2.02 -0.69 -0.25 1.57 2.45 1.32 0.06 -0.81 -1.90 4.25 3.57 +13.83%
2024 3.48 3.65 3.52 -1.93 2.42 2.45 0.77 0.62 0.71 -0.72 -0.12 - -
Single months: Dividends not considered

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 9.64% 10.68% 9.30% 11.43% 15.08%
Sharpe ratio 1.64 0.69 2.12 0.61 0.48
Best month +3.65% +2.45% +4.25% +7.48% +10.51%
Worst month -1.93% -0.72% -1.93% -5.78% -11.33%
Maximum loss -7.89% -7.89% -7.89% -10.92% -30.51%
Outperformance - - - - -
 
All quotes in EUR

Share classes

Name   Type of yield Repurchase p. 1 Year 3 Years
AMUNDI FUNDS GLOBAL EQUITY INCOM... paying dividend 1,090.3199 +23.84% +28.61%
AMUNDI FUNDS GLOBAL EQUITY INCOM... reinvestment 102.8200 +25.12% +27.89%
AMUNDI FUNDS GLOBAL EQUITY INCOM... reinvestment 1,867.7100 +23.80% +37.03%
AMUNDI FUNDS GLOBAL EQUITY INCOM... paying dividend 1,552.6700 +23.80% +37.04%
AMUNDI FUNDS GLOBAL EQUITY INCOM... paying dividend 1,262.7800 +24.60% -
AMUNDI FUNDS GLOBAL EQUITY INCOM... reinvestment 1,284.5300 +20.01% -
AMUNDI FUNDS GLOBAL EQUITY INCOM... paying dividend 69.9400 +22.67% +33.22%
AMUNDI FUNDS GLOBAL EQUITY INCOM... paying dividend 62.9800 +24.45% -
AMUNDI FUNDS GLOBAL EQUITY INCOM... reinvestment 141.6600 +23.20% +22.09%
AMUNDI FUNDS GLOBAL EQUITY INCOM... reinvestment 14.7350 +22.67% +33.26%
AMUNDI FUNDS GLOBAL EQUITY INCOM... paying dividend 67.2200 +23.21% +22.10%
AMUNDI FUNDS GLOBAL EQUITY INCOM... paying dividend 5.7500 +22.67% +33.26%
AMUNDI FUNDS GLOBAL EQUITY INCOM... paying dividend 6.4650 +22.66% +33.25%
AMUNDI FUNDS GLOBAL EQUITY INCOM... reinvestment 12.9720 +21.57% +29.72%
AMUNDI FUNDS GLOBAL EQUITY INCOM... paying dividend 6.5540 +22.35% +32.25%
AMUNDI FUNDS GLOBAL EQUITY INCOM... paying dividend 63.7000 +23.25% +22.18%
AMUNDI FUNDS GLOBAL EQUITY INCOM... reinvestment 94.6100 +23.40% +35.68%
AMUNDI FUNDS GLOBAL EQUITY INCOM... paying dividend 74.9600 +23.41% +35.63%
AMUNDI FUNDS GLOBAL EQUITY INCOM... paying dividend 70.9200 +23.39% +35.71%
AMUNDI FUNDS GLOBAL EQUITY INCOM... paying dividend 62.9700 +19.51% +33.00%
AMUNDI FUNDS GLOBAL EQUITY INCOM... paying dividend 81.3900 +25.19% +28.12%
AMUNDI FUNDS GLOBAL EQUITY INCOM... paying dividend 70.3800 +25.18% +28.08%
AMUNDI FUNDS GLOBAL EQUITY INCOM... reinvestment 6.6850 +22.37% -
AMUNDI FUNDS GLOBAL EQUITY INCOM... paying dividend 52.0300 - -
AMUNDI FUNDS GLOBAL EQUITY INCOM... reinvestment 3,819.7700 +25.70% +29.75%
AMUNDI FUNDS GLOBAL EQUITY INCOM... paying dividend 1,454.9100 +23.92% +37.45%
AMUNDI FUNDS GLOBAL EQUITY INCOM... reinvestment 3,505.6799 +23.92% +37.44%
AMUNDI FUNDS GLOBAL EQUITY INCOM... reinvestment 147.4100 +22.68% +33.26%
AMUNDI FUNDS GLOBAL EQUITY INCOM... paying dividend 78.2000 +24.43% +25.80%
AMUNDI FUNDS GLOBAL EQUITY INCOM... reinvestment 160.6600 +24.44% +25.81%
AMUNDI FUNDS GLOBAL EQUITY INCOM... paying dividend 71.9800 +22.67% +33.28%
AMUNDI FUNDS GLOBAL EQUITY INCOM... paying dividend 1,344.6300 +24.75% +39.15%

Performance

YTD  
+15.69%
6 Months  
+5.10%
1 Year  
+22.67%
3 Years  
+33.26%
5 Years  
+63.78%
10 Years     -
Since start  
+75.09%
Year
2023  
+13.83%
2022
  -2.53%
2021  
+27.46%
2020
  -2.12%
 

Dividends

2024-10-28 0.04 EUR
2024-07-26 0.04 EUR
2024-04-25 0.04 EUR
2024-01-26 0.04 EUR
2023-10-26 0.04 EUR
2023-07-26 0.04 EUR
2023-04-25 0.04 EUR
2023-01-26 0.04 EUR
2022-10-26 0.04 EUR
2022-07-26 0.04 EUR
2022-04-26 0.04 EUR
2022-01-26 0.04 EUR
2021-10-26 0.04 EUR
2021-07-27 0.04 EUR
2021-04-27 0.04 EUR
2021-01-26 0.04 EUR
2020-10-28 0.04 EUR
2020-07-28 0.04 EUR
2020-04-27 0.04 EUR
2020-01-28 0.06 EUR
2019-10-28 0.06 EUR
2019-07-26 0.06 EUR