NAV29/07/2024 Diferencia+0.0050 Tipo de beneficio Enfoque de la inversión Sociedad de fondos
5.5840USD +0.09% paying dividend Bonds Asia FIL IM (LU) 
  • Dividendos ajustados Dividendos ajustados

Rendimiento mensual

  ene. feb. mar. abr. may. jun. jul. ago. sep. oct. nov. dic. Total
2015 - - - - - - 0.08 -2.66 -1.78 4.25 -0.44 -1.28 -
2016 -1.38 0.67 4.19 2.37 1.13 1.66 2.58 1.13 0.64 0.72 -0.54 0.34 +14.24%
2017 1.50 1.47 0.52 0.66 0.26 0.02 0.90 0.80 0.37 0.68 -0.20 0.40 +7.61%
2018 0.71 -0.32 -0.67 -0.51 -1.14 -2.02 2.11 -0.27 0.77 -3.09 -0.44 0.90 -4.01%
2019 4.40 1.11 3.14 0.33 -0.25 1.52 0.12 -1.14 0.60 1.18 0.15 1.00 +12.73%
2020 0.82 -0.15 -15.79 5.71 4.73 3.94 2.86 2.34 -1.93 -0.28 3.88 3.24 +7.69%
2021 0.55 0.44 -0.44 1.43 0.66 -1.05 -4.05 2.42 -4.63 -6.33 -2.51 -0.75 -13.70%
2022 -4.62 -6.12 -2.59 -0.82 -5.95 -10.76 -5.52 2.59 -7.71 -12.24 19.89 12.03 -23.44%
2023 10.65 -3.74 -4.68 -0.34 -3.94 1.96 -0.86 -4.54 0.48 -0.48 3.95 1.96 -0.61%
2024 2.28 1.79 1.78 -0.87 2.28 0.94 1.05 - - - - - -
Meses individuales: Dividendos no considerados

Valores estimados

  Año hasta la fecha 6 Meses Promedio móvil 3 Años 5 Años
Volatilidad 3.86% 4.02% 4.92% 11.90% 10.41%
Índice de Sharpe 3.54 2.82 1.48 -1.13 -0.80
El mes mejor +2.28% +2.28% +3.95% +19.89% +19.89%
El mes peor -0.87% -0.87% -4.54% -12.24% -15.79%
Pérdida máxima -1.51% -1.51% -5.68% -52.04% -53.44%
Rendimiento superior -2.37% - - - -
 
Todas las cotizaciones en USD

Tramos

Nombre   Tipo de beneficio Prec. de rescate Promedio móvil 3 Años
Fidelity Fd.Asian H.Y.Fd.A Dis U... paying dividend 4.6370 +10.14% -27.97%
Fidelity Fd.Asian H.Y.Fd.A Dis U... paying dividend 4.9390 +10.16% -27.97%
Fidelity Fd.Asian H.Y.Fd.A Dis C... paying dividend 63.7500 +7.54% -29.82%
Fidelity Fd.Asian H.Y.Fd.A Acc S... reinvestment 102.8000 +8.20% -31.33%
Fidelity Fd.Asian H.Y.Fd.A Dis A... paying dividend 4.5820 +8.83% -30.20%
Fidelity Fd.Asian H.Y.Fd.A Acc H... paying dividend 5.3130 +10.33% -27.63%
Fidelity Fd.Asian H.Y.Fd.A Dis S... paying dividend 0.4830 +8.22% -29.76%
Fidelity Fd.Asian H.Y.Fd.A Dis U... paying dividend 4.4950 +10.15% -27.96%
Fidelity Fd.Asian H.Y.Fd.A Dis S... paying dividend 0.4570 +8.29% -29.87%
Fidelity Funds - Asian High Yiel... paying dividend 4.3820 +7.80% -32.88%
Fidelity Funds - Asian High Yiel... reinvestment 1.1180 +8.75% -28.79%
Fidelity Funds - Asian High Yiel... paying dividend 9.7690 +10.30% -
Fidelity Fd.Asian H.Y.Fd.I Dis U... paying dividend 5.5840 +10.87% -26.52%
Fidelity Fd.Asian H.Y.Fd.I Acc U... reinvestment 10.0200 +10.93% -26.54%
Fidelity Funds - Asian High Yiel... paying dividend 4.3270 +8.85% -30.80%
Fidelity Fd.Asian H.Y.Fd.Y Acc U... reinvestment 16.1500 +10.69% -26.89%
Fidelity Fd.Asian H.Y.Fd.Y Acc E... reinvestment 10.1200 +12.77% -19.68%
Fidelity Fd.Asian H.Y.Fd.Y Dis U... paying dividend 5.7420 +10.69% -26.89%
Fidelity Fd.Asian H.Y.Fd.Y Dis H... paying dividend 5.8240 +10.89% -26.52%
Fidelity Fd.Asian H.Y.Fd.Y Dis S... paying dividend 0.5410 +8.65% -28.76%
Fidelity Fd.Asian H.Y.Fd.Y Dis U... paying dividend 5.7840 +10.71% -26.86%
Fidelity Funds - Asian High Yiel... reinvestment 14.0900 +10.16% -27.97%
Fidelity Funds - Asian High Yiel... reinvestment 16.8700 +12.17% -20.87%
Fidelity Funds - Asian High Yiel... paying dividend 451.4000 +3.87% -35.71%
Fidelity Funds - Asian High Yiel... paying dividend 4.3060 +8.31% -31.97%

Performance

Año hasta la fecha  
+9.58%
6 Meses  
+7.22%
Promedio móvil  
+10.87%
3 Años
  -26.52%
5 Años
  -21.20%
10 Años     -
Desde el principio  
+0.84%
Año
2023
  -0.61%
2022
  -23.44%
2021
  -13.70%
2020  
+7.69%
2019  
+12.73%
2018
  -4.01%
2017  
+7.61%
2016  
+14.24%
 

Dividendos

01/07/2024 0.03 USD
03/06/2024 0.03 USD
01/05/2024 0.03 USD
01/04/2024 0.03 USD
01/03/2024 0.03 USD
01/02/2024 0.03 USD
02/01/2024 0.02 USD
01/12/2023 0.03 USD
01/11/2023 0.03 USD
02/10/2023 0.03 USD
01/09/2023 0.03 USD
01/08/2023 0.03 USD
03/07/2023 0.03 USD
01/06/2023 0.03 USD
01/05/2023 0.03 USD
03/04/2023 0.03 USD
01/03/2023 0.03 USD
01/02/2023 0.03 USD
02/01/2023 0.03 USD
01/12/2022 0.03 USD
01/11/2022 0.03 USD
03/10/2022 0.03 USD
01/09/2022 0.02 USD
01/08/2022 0.02 USD
01/07/2022 0.03 USD
01/06/2022 0.04 USD
02/05/2022 0.03 USD
01/04/2022 0.04 USD
01/03/2022 0.03 USD
01/02/2022 0.04 USD
03/01/2022 0.04 USD
01/12/2021 0.04 USD
01/11/2021 0.04 USD
01/10/2021 0.03 USD
01/09/2021 0.05 USD
02/08/2021 0.05 USD
01/07/2021 0.05 USD
01/06/2021 0.04 USD
03/05/2021 0.04 USD
01/04/2021 0.06 USD
01/03/2021 0.04 USD
01/02/2021 0.04 USD
04/01/2021 0.05 USD
01/12/2020 0.05 USD
02/11/2020 0.05 USD
01/10/2020 0.05 USD
01/09/2020 0.05 USD
03/08/2020 0.05 USD
01/07/2020 0.06 USD
01/06/2020 0.05 USD
01/05/2020 0.06 USD
01/04/2020 0.07 USD
02/03/2020 0.05 USD
03/02/2020 0.06 USD
02/01/2020 0.06 USD
02/12/2019 0.05 USD
01/11/2019 0.06 USD
01/10/2019 0.05 USD
02/09/2019 0.05 USD
01/08/2019 0.06 USD
01/07/2019 0.05 USD
03/06/2019 0.06 USD
01/05/2019 0.06 USD
01/04/2019 0.05 USD
01/03/2019 0.05 USD
01/02/2019 0.06 USD
02/01/2019 0.05 USD
03/12/2018 0.06 USD
01/11/2018 0.06 USD
01/10/2018 0.05 USD
03/09/2018 0.06 USD
01/08/2018 0.06 USD
02/07/2018 0.05 USD
01/06/2018 0.06 USD
01/05/2018 0.06 USD
02/04/2018 0.06 USD
01/03/2018 0.05 USD
01/02/2018 0.06 USD
02/01/2018 0.05 USD
01/12/2017 0.05 USD
01/11/2017 0.06 USD
02/10/2017 0.05 USD
01/09/2017 0.06 USD
01/08/2017 0.05 USD
03/07/2017 0.05 USD
01/06/2017 0.05 USD
01/05/2017 0.06 USD
03/04/2017 0.05 USD
01/03/2017 0.05 USD
01/02/2017 0.05 USD
02/01/2017 0.05 USD
01/12/2016 0.05 USD
01/11/2016 0.06 USD
03/10/2016 0.05 USD
01/09/2016 0.06 USD
01/08/2016 0.05 USD
01/07/2016 0.05 USD
01/06/2016 0.05 USD
02/05/2016 0.05 USD
01/04/2016 0.06 USD
01/03/2016 0.06 USD
01/02/2016 0.06 USD
04/01/2016 0.06 USD
01/12/2015 0.05 USD
02/11/2015 0.06 USD
01/10/2015 0.05 USD
01/09/2015 0.05 USD
03/08/2015 0.11 USD