Budapest Prémium Kiegyensúlyozott Részalap A sorozat/  HU0000716337  /

Fonds
NAV01/08/2024 Var.+0.0037 Type of yield Focus sugli investimenti Società d'investimento
1.5164HUF +0.25% - - Budapest Alapkezelő Zrt. 
 

Performance mensile

  gen feb mar apr mag giu lug ago set ott nov dic Totale
2016 - - - - - 0.68 1.47 0.56 0.30 -1.03 -1.48 0.90 -
2017 0.81 1.05 0.89 0.40 -1.45 -0.73 -1.73 0.64 2.20 1.12 -0.44 -0.19 +2.53%
2018 -0.92 -0.51 -0.90 0.57 2.21 0.63 0.25 0.97 -0.09 -1.24 0.36 -2.29 -1.02%
2019 2.30 1.17 2.45 1.09 -1.00 1.56 2.55 1.02 1.34 -1.41 1.93 -0.10 +13.59%
2020 1.22 -2.05 -4.59 2.51 1.13 2.28 -1.78 2.52 0.55 0.23 1.78 1.32 +4.96%
2021 -0.98 0.49 2.39 0.11 -2.82 2.87 1.55 -0.74 0.95 1.08 0.00 1.66 +6.62%
2022 -4.04 0.49 -0.21 0.13 2.07 -3.94 4.75 -1.44 -0.12 -0.63 3.37 -4.15 -4.09%
2023 2.67 -2.05 0.70 -0.12 1.12 2.69 3.02 -0.41 0.84 -1.51 2.58 3.22 +13.32%
2024 0.95 2.14 0.88 -1.18 0.52 1.96 1.17 0.25 - - - - -

Calculated values

  YTD 6 mesi 1 anno 3 anni 5 anni
Volatilità 4.21% 4.06% 4.83% 7.16% 7.68%
Indice di Sharpe 2.00 2.06 1.73 0.36 0.30
Mese migliore +3.22% +2.14% +3.22% +4.75% +4.75%
Mese peggiore -1.18% -1.18% -1.51% -4.15% -4.59%
Perdita massima -1.80% -1.80% -2.87% -6.67% -13.34%
Outperformance - - - - -
 
Tutte le quotazioni in HUF

Prestazione

YTD  
+6.84%
6 mesi  
+5.82%
1 anno  
+12.02%
3 anni  
+19.84%
5 anni  
+33.51%
10 anni     -
Dall'inizio  
+52.65%
Anno
2023  
+13.32%
2022
  -4.09%
2021  
+6.62%
2020  
+4.96%
2019  
+13.59%
2018
  -1.02%
2017  
+2.53%