NAV31/07/2024 Chg.+0.1900 Type de rendement Focus sur l'investissement Société de fonds
30.7100EUR +0.62% reinvestment Equity Emerging Markets BlackRock (LU) 
 

Performance mensuelle

  janv. févr. mars avr. mai juin juil. août sept. oct. nov. déc. Total
2000 - - - - - - - - - - - -4.99 -
2001 12.87 -9.22 -5.83 4.38 4.19 -3.04 -11.23 -6.73 -15.89 8.14 11.42 9.05 -6.90%
2002 4.87 2.85 3.90 -3.75 -4.00 -13.78 -5.08 -1.17 -10.70 4.14 5.97 -8.45 -24.45%
2003 -4.10 -2.60 -4.23 6.38 0.31 9.05 6.47 10.83 -5.36 8.56 -2.67 3.81 +27.53%
2004 5.28 4.25 3.14 -5.88 -4.85 -0.23 -1.36 2.53 3.59 -0.76 5.24 3.01 +14.01%
2005 6.14 5.98 -5.82 -2.38 9.83 3.46 6.86 -0.32 11.18 -6.30 11.74 6.43 +55.09%
2006 6.75 3.59 -1.00 3.14 -11.33 -1.17 1.25 2.79 0.25 2.83 3.49 4.43 +14.74%
2007 1.02 -2.35 3.73 2.27 7.79 2.36 4.41 -4.51 7.23 9.40 -8.63 0.96 +24.56%
2008 -12.99 4.91 -10.55 8.57 3.74 -11.22 -6.29 -0.36 -16.75 -18.97 -4.15 -2.40 -51.89%
2009 1.04 -6.73 9.12 19.10 11.80 -0.41 9.28 0.57 7.88 -1.17 0.41 7.06 +71.77%
2010 -1.76 1.51 8.49 3.15 -4.68 1.86 0.76 1.21 3.78 1.92 3.90 2.67 +24.68%
2011 -5.91 -3.23 3.68 -0.79 -0.09 -1.37 -0.62 -7.74 -7.71 8.13 -3.13 1.56 -16.93%
2012 6.58 4.23 -1.39 0.92 -6.05 0.51 6.86 -3.19 2.41 -0.96 1.89 2.81 +14.76%
2013 -0.97 2.34 0.91 -1.99 -1.15 -8.36 -0.82 -3.08 4.50 4.36 0.10 -2.04 -6.66%
2014 -5.40 2.10 0.31 -0.72 5.82 2.92 3.60 3.33 -2.52 2.49 1.68 -2.87 +10.65%
2015 6.36 2.82 1.60 2.22 -1.89 -3.98 -7.24 -10.83 -4.05 8.02 3.03 -5.31 -10.52%
2016 -7.86 0.27 6.77 0.86 1.56 4.01 4.67 2.87 0.58 1.06 -2.87 -0.67 +10.96%
2017 5.19 3.86 2.93 0.08 0.24 -1.08 2.55 2.40 0.58 3.67 -1.33 2.81 +23.95%
2018 4.84 -2.85 -3.14 2.99 1.33 -4.77 1.63 -4.31 0.69 -3.49 4.48 -3.53 -6.62%
2019 9.04 0.68 2.45 2.98 -6.16 5.59 1.15 -3.49 2.99 3.14 1.34 4.75 +26.34%
2020 -0.96 -5.11 -16.05 11.85 -1.36 6.73 1.73 2.42 -2.20 3.39 7.88 6.16 +12.09%
2021 5.28 3.95 0.48 0.08 -0.70 3.73 -6.31 1.09 -2.85 1.64 -2.31 0.74 +4.32%
2022 -0.40 -9.16 -3.09 -1.71 -2.39 -5.17 1.98 2.72 -8.30 -4.65 8.38 -4.06 -24.03%
2023 7.53 -4.59 -0.17 -3.05 3.43 1.69 3.39 -3.67 -1.40 -4.71 4.09 2.46 +4.24%
2024 -3.50 2.55 3.70 0.58 -1.87 4.21 -3.09 - - - - - -

Valeurs calculées

  CAD 6 Mois 1 An 3 Ans 5 Ans
Volatilité 11.81% 11.85% 12.01% 14.82% 18.01%
Ratio de Sharpe 0.03 0.74 -0.41 -0.75 -0.17
Le meilleur mois +4.21% +4.21% +4.21% +8.38% +11.85%
Le plus défavorable mois -3.50% -3.50% -4.71% -9.16% -16.05%
Perte maximale -5.79% -5.79% -9.75% -31.78% -37.56%
Surperformance -1.48% - +3.49% +31.52% +40.64%
 
Toutes les cotations dans EUR

Tranches

Nom   Type de rendement Prix de rachat 1 An 3 Ans
BGF Em.Mkts.F.I2 EUR reinvestment 14.0200 +0.21% -17.24%
BGF Em.Mkts.F.A2 CZK reinvestment 887.9000 +5.78% -19.68%
BGF Em.Mkts.F.AI2 EUR reinvestment 10.9500 -0.82% -19.72%
BGF Em.Mkts.F.I5 USD paying dividend 11.0500 -1.57% -24.51%
BGF Em.Mkts.F.I2 USD reinvestment 15.2000 -1.55% -24.90%
BGF Em.Mkts.F.I4 EUR paying dividend 10.1500 +0.28% -
BGF Em.Mkts.F.X2 AUD reinvestment 25.1200 +2.03% -
BGF Em.Mkts.F.X2 GBP reinvestment 12.7800 -0.62% -16.25%
BGF Em.Mkts.F.X2 EUR reinvestment 15.1300 +1.00% -15.33%
BGF Emerging Markets Fund D2 USD reinvestment 43.4100 -1.79% -25.03%
BGF Em.Mkts.F.D2 EUR reinvestment 40.0400 +0.03% -17.83%
BGF Em.Mkts.F.X2 USD reinvestment 16.4100 -0.79% -22.70%
BGF Emerging Markets Fund A2 EUR reinvestment 34.8800 -0.74% -19.67%
BGF Emerging Markets Fund A2 USD reinvestment 37.8200 -2.53% -26.71%
BGF Emerging Markets Fund E2 EUR reinvestment 30.7100 -1.25% -20.87%
BGF Em.Mkts.F.A2 EUR H reinvestment 8.4600 -4.41% -32.48%
BGF Em.Mkts.F.A4 USD paying dividend 9.6800 -2.54% -26.74%
BGF Em.Mkts.F.A4 EUR paying dividend 8.9300 -0.75% -19.67%

Performance

CAD  
+2.30%
6 Mois  
+6.01%
1 An
  -1.25%
3 Ans
  -20.87%
5 Ans  
+3.09%
10 ans  
+40.23%
Depuis le début  
+183.83%
Année
2023  
+4.24%
2022
  -24.03%
2021  
+4.32%
2020  
+12.09%
2019  
+26.34%
2018
  -6.62%
2017  
+23.95%
2016  
+10.96%
2015
  -10.52%