HSBC GLOBAL INVESTMENT FUNDS - GLOBAL REAL ESTATE EQUITY AM3OSGD/  LU1560770973  /

Fonds
NAV14/11/2024 Diferencia-0.0860 Tipo de beneficio Enfoque de la inversión Sociedad de fondos
7.4260SGD -1.14% paying dividend Real Estate Worldwide HSBC Inv. Funds (LU) 
  • Dividendos ajustados Dividendos ajustados

Rendimiento mensual

  ene. feb. mar. abr. may. jun. jul. ago. sep. oct. nov. dic. Total
2017 - - - - - - - - -1.01 -1.33 4.23 0.48 -
2018 -2.10 -5.53 2.45 1.86 1.13 2.56 0.48 0.58 -3.41 -1.27 2.51 -5.20 -6.24%
2019 9.80 0.77 2.65 -1.72 -0.45 0.37 0.55 1.06 2.62 2.08 -0.99 -1.08 +16.27%
2020 2.11 -9.95 -21.90 6.12 -0.51 3.51 1.36 3.20 -3.44 -4.34 14.61 2.38 -11.02%
2021 -0.26 2.56 2.51 6.39 1.58 1.16 4.77 0.81 -5.21 5.61 -1.77 4.75 +24.72%
2022 -5.65 -2.64 5.17 -5.61 -5.46 -10.29 8.16 -6.91 -15.07 3.78 4.52 0.02 -28.24%
2023 8.67 -3.50 -6.23 3.68 -6.22 1.22 5.02 -3.60 -6.69 -5.26 10.39 9.92 +5.08%
2024 -4.28 -3.11 2.58 -5.55 2.90 0.26 6.90 4.85 2.13 -4.71 -1.59 - -
Meses individuales: Dividendos no considerados

Valores estimados

  Año hasta la fecha 6 Meses Promedio móvil 3 Años 5 Años
Volatilidad 13.91% 13.48% 15.46% 18.34% 20.92%
Índice de Sharpe -0.26 0.81 0.53 -0.63 -0.31
El mes mejor +9.92% +6.90% +10.39% +10.39% +14.61%
El mes peor -5.55% -4.71% -5.55% -15.07% -21.90%
Pérdida máxima -11.35% -8.81% -11.96% -39.20% -42.03%
Rendimiento superior - - - - -
 
Todas las cotizaciones en SGD

Tramos

Nombre   Tipo de beneficio Prec. de rescate Promedio móvil 3 Años
HSBC GIF Gl.Real Estate Eq.ID US... paying dividend 9.3970 +14.78% -17.24%
HSBC GLOBAL INVESTMENT FUNDS - G... reinvestment 12.2770 +15.78% -14.99%
HSBC GLOBAL INVESTMENT FUNDS - G... paying dividend 9.4250 +15.80% -15.01%
HSBC GLOBAL INVESTMENT FUNDS - G... paying dividend 9.7490 +15.77% -15.02%
HSBC GLOBAL INVESTMENT FUNDS - G... paying dividend 9.1060 +15.71% -15.09%
HSBC GLOBAL INVESTMENT FUNDS - G... paying dividend 9,017.4756 +9.95% +6.46%
HSBC GIF Gl.Real Estate Eq.AD US... paying dividend 9.3700 +13.75% -19.43%
HSBC GLOBAL INVESTMENT FUNDS - G... paying dividend 7.7820 +13.74% -19.45%
HSBC GLOBAL INVESTMENT FUNDS - G... paying dividend 7.4260 +11.24% -23.37%
HSBC GLOBAL INVESTMENT FUNDS - G... reinvestment 11.1920 +16.56% -12.99%
HSBC GLOBAL INVESTMENT FUNDS - G... paying dividend 10.8280 +14.57% -
HSBC GLOBAL INVESTMENT FUNDS - G... reinvestment 10.3440 +13.75% -19.43%

Performance

Año hasta la fecha
  -0.48%
6 Meses  
+6.79%
Promedio móvil  
+11.24%
3 Años
  -23.37%
5 Años
  -16.12%
10 Años     -
Desde el principio
  -7.57%
Año
2023  
+5.08%
2022
  -28.24%
2021  
+24.72%
2020
  -11.02%
2019  
+16.27%
2018
  -6.24%
 

Dividendos

29/10/2024 0.01 SGD
27/09/2024 0.01 SGD
29/08/2024 0.01 SGD
31/07/2024 0.01 SGD
28/06/2024 0.01 SGD
29/05/2024 0.01 SGD
24/04/2024 0.01 SGD
27/03/2024 0.01 SGD
29/02/2024 0.01 SGD
31/01/2024 0.01 SGD
28/12/2023 0.01 SGD
30/11/2023 0.01 SGD
31/10/2023 0.01 SGD
27/09/2023 0.01 SGD
30/08/2023 0.01 SGD
27/07/2023 0.01 SGD
27/06/2023 0.02 SGD
31/05/2023 0.01 SGD
28/04/2023 0.02 SGD
29/03/2023 0.02 SGD
28/02/2023 0.02 SGD
31/01/2023 0.02 SGD
29/12/2022 0.02 SGD
30/11/2022 0.02 SGD
28/10/2022 0.02 SGD
30/09/2022 0.02 SGD
26/08/2022 0.02 SGD
27/07/2022 0.02 SGD
30/06/2022 0.02 SGD
25/05/2022 0.02 SGD
28/04/2022 0.03 SGD
30/03/2022 0.02 SGD
25/02/2022 0.02 SGD
28/01/2022 0.03 SGD
30/12/2021 0.03 SGD
30/11/2021 0.02 SGD
29/10/2021 0.03 SGD
30/09/2021 0.02 SGD
27/08/2021 0.02 SGD
30/07/2021 0.03 SGD
30/06/2021 0.02 SGD
28/05/2021 0.02 SGD
28/04/2021 0.03 SGD
31/03/2021 0.03 SGD
26/02/2021 0.02 SGD
28/01/2021 0.03 SGD
30/12/2020 0.03 SGD
25/11/2020 0.03 SGD
28/10/2020 0.03 SGD
29/09/2020 0.03 SGD
28/08/2020 0.03 SGD
30/07/2020 0.03 SGD
30/06/2020 0.03 SGD
29/05/2020 0.03 SGD
28/04/2020 0.02 SGD
27/03/2020 0.03 SGD
28/02/2020 0.03 SGD
23/01/2020 0.03 SGD
20/12/2019 0.03 SGD
27/11/2019 0.03 SGD
31/10/2019 0.03 SGD
27/09/2019 0.03 SGD
29/08/2019 0.03 SGD
31/07/2019 0.02 SGD
28/06/2019 0.03 SGD
29/05/2019 0.03 SGD
24/04/2019 0.02 SGD
29/03/2019 0.03 SGD
28/02/2019 0.03 SGD
31/01/2019 0.03 SGD
28/12/2018 0.03 SGD
30/11/2018 0.03 SGD
31/10/2018 0.03 SGD
28/09/2018 0.03 SGD
29/08/2018 0.03 SGD
26/07/2018 0.03 SGD
29/06/2018 0.03 SGD
25/05/2018 0.03 SGD
27/04/2018 0.03 SGD
28/03/2018 0.03 SGD
28/02/2018 0.03 SGD
30/01/2018 0.03 SGD
28/12/2017 0.03 SGD
30/11/2017 0.03 SGD
31/10/2017 0.03 SGD