NAV02/07/2024 Chg.+5.5700 Type de rendement Focus sur l'investissement Société de fonds
312.6200EUR +1.81% reinvestment Equity Mixed Sectors BNP PARIBAS AM (LU) 
 

Performance mensuelle

  janv. févr. mars avr. mai juin juil. août sept. oct. nov. déc. Total
2006 - - - - -29.01 -7.21 8.79 5.22 -1.99 15.10 -10.00 5.43 -
2007 9.17 -0.62 5.35 2.61 10.75 0.72 12.72 -6.53 8.87 6.20 -8.26 3.24 +50.95%
2008 -21.92 -1.64 -22.97 17.76 -1.08 -14.63 23.08 -2.21 -15.94 -29.85 -10.70 -3.52 -64.02%
2009 -0.42 -8.66 2.31 31.28 8.23 5.88 18.58 6.04 2.35 -2.98 -8.11 24.10 +99.35%
2010 7.88 -11.24 14.90 9.08 -6.15 1.10 7.36 1.59 8.25 3.53 -5.09 -5.27 +25.15%
2011 -9.85 -4.52 6.83 6.02 -9.40 -2.31 -3.54 -17.54 10.74 -4.20 -2.26 -6.77 -33.64%
2012 18.63 4.35 1.38 -0.12 -6.47 14.88 7.64 -0.79 -1.46 6.67 1.45 5.28 +61.47%
2013 -0.99 2.77 8.16 -0.69 -2.41 -15.36 -5.53 -12.78 9.86 5.37 -3.22 -17.96 -31.62%
2014 -10.46 1.16 14.41 6.52 11.24 -2.78 6.01 -1.58 -7.78 11.94 6.34 -2.15 +33.78%
2015 7.53 -8.19 -5.70 -2.70 2.12 -3.48 -4.90 -13.27 -4.38 10.82 1.74 -7.11 -26.24%
2016 0.32 1.69 8.91 3.49 -9.70 1.57 -7.39 2.74 -1.68 2.41 -10.80 4.02 -6.26%
2017 -0.72 6.97 1.79 8.08 -0.14 1.42 1.91 3.37 -7.78 0.78 -11.14 11.15 +14.42%
2018 1.81 -0.13 -7.41 -8.44 -10.05 -3.95 -6.72 -29.11 19.83 -0.84 11.34 -6.45 -39.04%
2019 16.03 -2.73 -13.22 -1.92 0.95 5.30 10.87 -8.90 12.94 -9.34 9.41 0.63 +16.28%
2020 3.12 -14.00 -18.82 8.08 4.76 7.81 -11.52 -10.22 2.37 -10.56 19.23 17.20 -10.68%
2021 1.43 -3.25 -13.04 -0.62 -0.43 -2.23 7.02 10.00 -7.64 -0.98 -13.07 -1.06 -23.55%
2022 11.86 -7.77 10.27 13.74 -6.89 -5.29 2.38 20.64 0.34 20.80 16.00 6.99 +111.98%
2023 -9.14 4.58 -5.03 -4.35 -0.07 -4.58 22.06 16.87 4.97 -10.83 2.51 -3.62 +8.58%
2024 15.04 2.72 -3.08 18.06 8.63 5.25 -0.60 - - - - - -

Valeurs calculées

  CAD 6 Mois 1 An 3 Ans 5 Ans
Volatilité 23.00% 23.00% 27.77% 37.20% 35.35%
Ratio de Sharpe 5.78 5.41 3.21 1.18 0.48
Le meilleur mois +18.06% +18.06% +22.06% +22.06% +22.06%
Le plus défavorable mois -3.62% -3.08% -10.83% -13.07% -18.82%
Perte maximale -10.66% -10.66% -17.31% -33.78% -46.60%
Surperformance -0.01% - -0.04% +0.59% +0.68%
 
Toutes les cotations dans EUR

Tranches

Nom   Type de rendement Prix de rachat 1 An 3 Ans
BNP Paribas Funds Turkey Equity ... reinvestment 113.4300 +91.15% +198.81%
BNPP F.Turkey Eq.Pr.EUR paying dividend 124.5700 +96.00% +239.40%
BNP Paribas Funds Turkey Equity ... reinvestment 377.9000 +96.22% +240.54%
BNP Paribas Funds Turkey Equity ... reinvestment 312.6200 +92.61% +222.06%
BNPP F.Turkey Eq.Pr.EUR reinvestment 189.0800 +95.98% +239.34%
BNP Paribas Funds Turkey Equity ... paying dividend 215.2300 +94.04% +229.39%

Performance

CAD  
+53.67%
6 Mois  
+50.86%
1 An  
+92.61%
3 Ans  
+222.06%
5 Ans  
+157.03%
10 ans  
+55.27%
Depuis le début  
+47.52%
Année
2023  
+8.58%
2022  
+111.98%
2021
  -23.55%
2020
  -10.68%
2019  
+16.28%
2018
  -39.04%
2017  
+14.42%
2016
  -6.26%
2015
  -26.24%