NAV02/10/2024 Chg.+1330.0000 Type de rendement Focus sur l'investissement Société de fonds
68,796.0000JPY +1.97% paying dividend Equity Mixed Sectors FIL IM (LU) 
  • Dividendes ajustés Dividendes ajustés

Performance mensuelle

  janv. févr. mars avr. mai juin juil. août sept. oct. nov. déc. Total
2004 - - - - - - - - -3.76 -2.42 1.11 5.33 -
2005 0.87 2.08 1.33 -5.28 2.15 3.51 1.22 5.52 9.60 2.59 8.02 10.57 +49.89%
2006 1.42 -6.09 5.65 -2.12 -8.48 -0.89 -2.34 4.70 -1.38 -1.00 -2.78 5.38 -8.64%
2007 1.11 1.52 -1.95 0.09 4.81 1.49 -3.91 -6.43 -0.02 0.06 -4.08 -4.54 -11.74%
2008 -6.65 -1.45 -5.33 13.12 2.40 -3.07 0.29 -3.03 -6.61 -18.28 0.21 9.54 -20.32%
2009 -9.94 -5.60 9.73 8.52 7.05 2.06 3.85 2.11 -5.80 -2.64 -5.96 12.68 +13.96%
2010 0.21 -1.74 10.50 1.47 -10.12 -5.29 1.60 -4.77 4.54 -1.20 5.28 6.44 +5.26%
2011 2.61 4.15 -9.06 -0.18 -1.31 1.58 -2.17 -8.90 -2.15 1.04 -1.62 -1.20 -16.71%
2012 4.20 12.93 2.38 -6.87 -9.93 8.68 -4.72 -0.27 0.41 -0.17 5.02 10.01 +20.84%
2013 9.66 1.92 5.34 11.81 -3.82 1.28 -1.78 -3.10 9.29 -0.66 5.41 3.05 +43.95%
2014 -7.78 -0.83 -2.77 -3.87 4.99 4.55 2.44 -1.53 5.56 1.66 4.11 -1.95 +3.68%
2015 0.17 5.87 2.68 2.13 5.35 -1.68 0.62 -8.06 -8.12 9.46 4.78 -3.62 +8.25%
2016 -7.82 -9.98 5.45 -4.04 8.71 -7.43 3.71 -1.37 2.08 3.53 4.85 0.86 -3.38%
2017 1.66 0.86 0.75 0.71 5.49 1.56 1.44 1.56 6.21 7.41 1.03 1.11 +33.84%
2018 3.03 -5.78 -2.84 2.85 -2.57 -0.33 0.56 -0.90 6.24 -10.51 0.33 -10.41 -19.76%
2019 6.86 2.62 -0.14 2.11 -7.04 4.18 1.41 -4.46 8.49 3.99 3.09 1.01 +23.24%
2020 -4.47 -10.51 -8.91 5.45 6.43 -0.11 -3.80 8.05 1.92 -2.13 8.76 5.76 +4.12%
2021 2.45 6.19 6.02 -1.58 1.10 2.19 -1.73 0.45 4.74 -0.67 -3.93 4.19 +20.57%
2022 -2.02 -0.60 3.01 0.63 0.41 -0.75 1.81 2.18 -4.72 4.13 2.59 -5.74 +0.43%
2023 5.39 1.05 1.84 2.45 3.05 8.48 2.52 0.91 0.40 -2.75 3.96 -0.80 +29.41%
2024 5.60 4.32 5.80 -0.15 1.41 2.19 -1.18 -4.05 -1.78 1.92 - - -
Mois uniques : Dividendes non pris en compte

Valeurs calculées

  CAD 6 Mois 1 An 3 Ans 5 Ans
Volatilité 23.03% 26.23% 21.77% 17.57% 19.65%
Ratio de Sharpe 0.72 -0.04 0.57 0.70 0.62
Le meilleur mois +5.80% +2.19% +5.80% +8.48% +8.76%
Le plus défavorable mois -4.05% -4.05% -4.05% -5.74% -10.51%
Perte maximale -21.55% -21.55% -21.55% -21.55% -34.04%
Surperformance +1.10% - -0.82% +0.40% +4.91%
 
Toutes les cotations dans JPY

Tranches

Nom   Type de rendement Prix de rachat 1 An 3 Ans
Fidelity Funds - Japan Value Fun... paying dividend 1.1470 +9.61% -
Fidelity Fd.Japan Value.Fd.W Acc... reinvestment 1.5020 +9.32% +22.91%
Fidelity Fd.Japan Value.Fd.Y Dis... paying dividend 17.8300 +21.71% -
Fidelity Funds - Japan Value Fun... reinvestment 30.3500 +21.16% +70.22%
Fidelity Fd.Japan Value.Fd.I Acc... reinvestment 2,036.0000 +16.94% +58.81%
Fidelity Fd.Japan Value.Fd.I Acc... reinvestment 16.2600 +20.09% -
Fidelity Funds - Japan Value Fun... reinvestment 4,466.0000 +16.73% +57.92%
Fidelity Fd.Japan Value.Fd.Y Acc... reinvestment 27.9200 +13.77% +26.16%
Fidelity Fd.Japan Value.Fd.Y Dis... paying dividend 18.9200 +20.13% +63.82%
Fidelity Funds - Japan Value Fun... paying dividend 68,796.0000 +15.73% +53.94%
Fidelity Funds - Japan Value Fun... reinvestment 4,050.0000 +15.71% +53.93%
Fidelity Funds - Japan Value Fun... paying dividend 36.3000 +19.35% +60.41%
Fidelity Funds - Japan Value Fun... reinvestment 42.0000 +12.78% +22.88%

Performance

CAD  
+14.47%
6 Mois  
+1.06%
1 An  
+15.73%
3 Ans  
+53.94%
5 Ans  
+104.54%
10 ans  
+182.05%
Depuis le début  
+361.16%
Année
2023  
+29.41%
2022  
+0.43%
2021  
+20.57%
2020  
+4.12%
2019  
+23.24%
2018
  -19.76%
2017  
+33.84%
2016
  -3.38%
2015  
+8.25%
 

Dividendes

01/08/2024 54.09 JPY
01/08/2023 209.69 JPY
01/08/2022 157.99 JPY
02/08/2021 42.19 JPY
03/08/2020 102.69 JPY
01/08/2013 98.84 JPY
01/08/2012 64.78 JPY
01/08/2011 60.67 JPY
02/08/2010 6.99 JPY
03/08/2009 12.77 JPY