Fidelity Fd.Asian Bd.Fd.A Dis SGD H/ LU1420312487 /
NAV23.07.2024 | Diff.+0.0010 | Ertragstyp | Ausrichtung | Fondsgesellschaft |
---|---|---|---|---|
0.7410SGD | +0.14% | ausschüttend | Anleihen Asien | FIL IM (LU) ▶ |
Monatliche Performance
Jan | Feb | Mär | Apr | Mai | Jun | Jul | Aug | Sep | Okt | Nov | Dez | Gesamt | |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|
2021 | - | -1.27 | -0.68 | -1.31 | -0.18 | 1.08 | 0.14 | 2.34 | -1.30 | -0.60 | 0.24 | -0.29 | -1.88% |
2022 | -2.30 | -2.06 | -2.67 | -2.52 | -0.70 | -2.27 | -0.11 | 0.22 | -2.75 | -10.25 | 7.98 | 2.63 | -14.68% |
2023 | 4.13 | -2.41 | 0.62 | 0.87 | -1.56 | 0.10 | 0.10 | -1.99 | -1.90 | -1.54 | 3.75 | 3.09 | +3.03% |
2024 | -0.31 | -0.72 | 0.75 | -2.07 | 1.43 | 0.74 | 0.87 | - | - | - | - | - | - |
Einzelne Monate: Ausschüttungen nicht berücksichtigt
Kennzahlen
lfd. Jahr | 6 Monate | 1 Jahr | 3 Jahre | 5 Jahre | |
---|---|---|---|---|---|
Volatilität | 3.92% | 3.90% | 4.89% | 6.00% | -% |
Sharpe Ratio | -0.65 | 0.12 | -0.28 | -1.29 | - |
Bester Monat | +3.09% | +1.43% | +3.75% | +7.98% | - |
Schlechtester Monat | -2.07% | -2.07% | -2.07% | -10.25% | - |
Maximaler Verlust | -2.51% | -2.51% | -5.73% | -25.45% | - |
Outperformance | - | - | - | - | - |
Alle Kurse in SGD
Tranchen
Titel | Ertragstyp | Rückn. Preis | 1 Jahr | 3 Jahre | |
---|---|---|---|---|---|
Fidelity Funds - Asian Bond Fund... | ausschüttend | 9.5900 | +4.06% | -9.53% | |
Fidelity Fd.Asian Bd.Fd.Y Dis US... | ausschüttend | 8.9260 | +4.48% | -8.42% | |
Fidelity Fd.Asian Bd.Fd.A Dis SG... | ausschüttend | 0.7410 | +2.31% | -11.67% | |
Fidelity Fd.Asian Bd.Fd.A Dis AU... | ausschüttend | 7.8210 | +2.66% | -12.28% | |
Fidelity Fd.Asian Bd.Fd.A Dis HK... | ausschüttend | 7.9790 | +4.02% | -9.11% | |
Fidelity Fd.Asian Bd.Fd.A Dis US... | ausschüttend | 7.9350 | +4.07% | -9.52% | |
Fidelity Fd.Asian Bd.Fd.I Dis SG... | ausschüttend | 0.8840 | +2.80% | -10.30% | |
Fidelity Fd.Asian Bd.Fd.A Dis HK... | ausschüttend | 7.7150 | +4.02% | -9.09% | |
Fidelity Fd.Asian Bd.Fd.A Dis CN... | ausschüttend | 76.2100 | +1.66% | -11.46% | |
Fidelity Fd.Asian Bd.Fd.A Acc PL... | thesaurierend | 9.5580 | +4.73% | -2.91% | |
Fidelity Fd.Asian Bd.Fd.D Acc EU... | thesaurierend | 9.9460 | +5.96% | -2.87% | |
Fidelity Fd.Asian Bd.Fd.W Acc GB... | thesaurierend | 0.9750 | +3.83% | - | |
Fidelity Fd.Asian Bd.Fd.I Acc EU... | thesaurierend | 9.5240 | +2.87% | -12.94% | |
Fidelity Fd.Asian Bd.Fd.Y Acc CH... | thesaurierend | 8.2670 | +0.23% | -16.85% | |
Fidelity Fd.Asian Bd.Fd.A Dis US... | ausschüttend | 7.8440 | +4.06% | -9.53% | |
Fidelity Fd.Asian Bd.Fd.I Acc US... | thesaurierend | 12.1100 | +4.67% | -7.98% | |
Fidelity Funds - Asian Bond Fund... | thesaurierend | 15.1300 | +4.49% | -8.41% | |
Fidelity Fd.Asian Bd.Fd.Y Dis EU... | ausschüttend | 8.6240 | +2.72% | -13.26% | |
Fidelity Fd.Asian Bd.Fd.Y Dis US... | ausschüttend | 7.7850 | +4.49% | -8.42% | |
Fidelity Funds - Asian Bond Fund... | ausschüttend | 7.7370 | +2.26% | -14.41% | |
Fidelity Funds - Asian Bond Fund... | thesaurierend | 14.4800 | +4.10% | -9.50% |
Performance
lfd. Jahr | +0.65% | ||
---|---|---|---|
6 Monate | +2.05% | ||
1 Jahr | +2.31% | ||
3 Jahre | -11.67% | ||
5 Jahre | - | ||
10 Jahre | - | ||
seit Beginn | -13.19% | ||
Jahr | |||
2023 | +3.03% | ||
2022 | -14.68% | ||
2021 | -1.88% |
Ausschüttungen
01.07.2024 | 0.00 SGD |
03.06.2024 | 0.00 SGD |
01.05.2024 | 0.00 SGD |
01.04.2024 | 0.00 SGD |
01.03.2024 | 0.00 SGD |
01.02.2024 | 0.00 SGD |
02.01.2024 | 0.00 SGD |
01.12.2023 | 0.00 SGD |
01.11.2023 | 0.00 SGD |
02.10.2023 | 0.00 SGD |
01.09.2023 | 0.00 SGD |
01.08.2023 | 0.00 SGD |
03.07.2023 | 0.00 SGD |
01.06.2023 | 0.00 SGD |
01.05.2023 | 0.00 SGD |
03.04.2023 | 0.00 SGD |
01.03.2023 | 0.00 SGD |
01.02.2023 | 0.00 SGD |
02.01.2023 | 0.00 SGD |
01.12.2022 | 0.00 SGD |
01.11.2022 | 0.00 SGD |
03.10.2022 | 0.00 SGD |
01.09.2022 | 0.00 SGD |
01.08.2022 | 0.00 SGD |
01.07.2022 | 0.00 SGD |
01.06.2022 | 0.00 SGD |
02.05.2022 | 0.00 SGD |
01.04.2022 | 0.00 SGD |
01.03.2022 | 0.00 SGD |
01.02.2022 | 0.00 SGD |
03.01.2022 | 0.00 SGD |
01.12.2021 | 0.00 SGD |
01.11.2021 | 0.00 SGD |
01.10.2021 | 0.00 SGD |
01.09.2021 | 0.00 SGD |
02.08.2021 | 0.00 SGD |
01.07.2021 | 0.00 SGD |
01.06.2021 | 0.00 SGD |
03.05.2021 | 0.00 SGD |
01.04.2021 | 0.00 SGD |
01.03.2021 | 0.00 SGD |
01.02.2021 | 0.00 SGD |
04.01.2021 | 0.00 SGD |