HSBC GLOBAL INVESTMENT FUNDS - ASEAN EQUITY AD/  LU0210637038  /

Fonds
NAV05/09/2024 Diferencia+0.2230 Tipo de beneficio Enfoque de la inversión Sociedad de fondos
17.4040USD +1.30% paying dividend Equity Asia HSBC Inv. Funds (LU) 
  • Dividendos ajustados Dividendos ajustados

Rendimiento mensual

  ene. feb. mar. abr. may. jun. jul. ago. sep. oct. nov. dic. Total
1996 - -5.19 -0.83 0.83 4.65 -6.42 -8.02 1.72 -2.03 -17.72 2.94 -10.33 -
1997 -4.70 -11.76 -1.44 -2.38 -15.17 2.43 5.17 -27.46 9.89 -19.79 -4.17 -15.05 -61.52%
1998 5.91 50.56 -8.64 -4.86 -17.90 -21.11 0.44 -17.90 27.66 25.00 9.00 -6.12 +20.87%
1999 -1.95 -9.97 4.06 29.08 4.67 18.64 -14.38 -4.13 -14.82 9.49 5.49 16.99 +39.09%
2000 0.94 -18.56 7.12 -6.38 -19.60 0.00 -18.37 11.69 -18.99 -4.78 8.04 -6.05 -52.69%
2001 25.74 -1.18 -17.53 0.97 4.78 4.11 -10.96 17.73 -17.57 -1.02 15.90 1.33 +13.37%
2002 20.09 10.18 2.97 2.24 13.79 -1.93 -6.74 -1.51 -13.76 8.87 5.21 -1.24 +39.30%
2003 7.52 -1.17 2.06 3.18 10.36 13.45 2.91 15.87 14.07 12.50 5.41 19.83 +170.85%
2004 -5.79 2.58 -9.58 1.46 -3.39 2.16 -4.50 -1.94 4.66 -4.59 12.45 2.77 -5.44%
2005 8.08 6.00 -8.33 -5.01 -1.60 -0.12 2.00 4.97 4.61 -5.92 -2.84 7.87 +8.28%
2006 12.24 -2.94 0.65 7.73 -10.46 -6.12 3.17 0.94 1.64 8.28 5.31 -8.47 +9.69%
2007 0.11 1.98 1.83 6.36 4.88 6.46 10.67 -11.16 4.31 8.00 -6.10 2.95 +32.18%
2008 -6.14 9.51 2.21 0.48 -2.47 -13.74 -13.23 -0.33 -11.42 -35.42 -9.88 14.19 -54.79%
2009 -2.82 -5.43 3.48 18.61 20.03 9.32 3.33 5.84 11.63 -5.69 -0.11 5.25 +79.15%
2010 -6.39 4.05 13.24 -4.62 -2.88 6.89 8.07 9.01 11.97 1.23 0.84 2.64 +50.93%
2011 -8.15 4.24 7.06 5.23 -3.61 -5.08 14.56 -6.14 -16.88 8.46 -1.48 1.35 -4.49%
2012 7.27 12.02 0.20 2.40 -12.74 4.50 4.06 1.98 7.99 -0.44 1.31 4.44 +35.72%
2013 9.73 1.40 0.48 1.79 -7.31 -4.25 -4.16 -9.96 10.10 4.90 -8.57 -8.02 -15.33%
2014 -1.90 6.09 4.79 4.12 -3.09 5.43 0.57 6.03 -0.06 -0.75 1.10 -6.30 +16.26%
2015 2.51 0.12 -2.38 -0.98 -3.51 -1.02 -6.88 -4.09 -4.41 4.15 -2.66 -8.04 -24.60%
2016 3.14 3.84 7.40 -0.93 0.87 1.51 6.44 3.57 -3.77 -2.84 -2.15 1.14 +18.99%
2017 2.95 0.20 4.29 -0.13 1.63 1.99 1.09 3.59 3.71 2.34 1.43 3.39 +29.80%
2018 6.71 0.26 -2.30 -0.10 -4.70 -10.09 7.76 2.45 2.67 -7.04 -0.29 -1.81 -7.71%
2019 11.01 -0.32 -1.61 0.87 -2.33 8.65 -1.73 -2.61 -0.80 -1.24 0.66 -0.22 +9.74%
2020 -8.94 -11.37 -19.04 16.35 6.31 3.37 0.04 0.33 -8.06 -1.28 22.37 1.06 -5.88%
2021 2.74 3.24 2.09 -0.81 -0.71 -2.13 -6.87 10.54 -4.25 3.92 -6.57 4.34 +4.23%
2022 0.45 4.47 -1.50 -5.70 1.56 -7.54 -1.97 2.53 -7.46 2.33 9.30 2.68 -2.24%
2023 4.75 -9.30 3.11 -2.31 -2.23 -3.53 6.67 -5.82 -2.34 -4.00 2.29 5.22 -8.49%
2024 -2.84 2.19 2.27 -2.03 0.47 1.11 2.85 8.14 1.22 - - - -
Meses individuales: Dividendos no considerados

Valores estimados

  Año hasta la fecha 6 Meses Promedio móvil 3 Años 5 Años
Volatilidad 11.70% 12.45% 11.65% 14.13% 18.49%
Índice de Sharpe 1.50 2.21 1.05 -0.24 -0.22
El mes mejor +8.14% +8.14% +8.14% +9.30% +22.37%
El mes peor -2.84% -2.03% -4.00% -9.30% -19.04%
Pérdida máxima -6.52% -6.52% -6.52% -24.04% -42.90%
Rendimiento superior +4.06% - +4.51% +6.76% -1.80%
 
Todas las cotizaciones en USD

Tramos

Nombre   Tipo de beneficio Prec. de rescate Promedio móvil 3 Años
HSBC GLOBAL INVESTMENT FUNDS - A... reinvestment 20.6890 +15.13% -1.41%
HSBC GLOBAL INVESTMENT FUNDS - A... reinvestment 26.5010 +16.69% +2.65%
HSBC GLOBAL INVESTMENT FUNDS - A... reinvestment 22.6090 +15.71% +0.08%
HSBC GLOBAL INVESTMENT FUNDS - A... paying dividend 17.4040 +15.71% +0.09%

Performance

Año hasta la fecha  
+13.77%
6 Meses  
+14.58%
Promedio móvil  
+15.71%
3 Años  
+0.09%
5 Años
  -3.12%
10 Años  
+8.23%
Desde el principio  
+135.57%
Año
2023
  -8.49%
2022
  -2.24%
2021  
+4.23%
2020
  -5.88%
2019  
+9.74%
2018
  -7.71%
2017  
+29.80%
2016  
+18.99%
2015
  -24.60%
 

Dividendos

17/05/2024 0.22 USD
31/05/2023 0.28 USD
06/07/2022 0.15 USD
08/07/2021 0.05 USD
08/07/2020 0.12 USD
11/07/2019 0.10 USD
11/07/2018 0.10 USD
07/07/2017 0.14 USD
12/07/2016 0.18 USD
08/07/2015 0.25 USD
08/07/2014 0.20 USD
11/07/2013 0.14 USD
03/07/2012 0.36 USD
06/07/2011 0.22 USD
16/07/2010 0.23 USD
17/07/2009 0.23 USD
15/07/2008 0.11 USD
09/07/2007 0.13 USD
28/07/2006 0.23 USD
29/07/2005 0.32 USD