NAV16.08.2024 Diff.+0.3200 Ertragstyp Ausrichtung Fondsgesellschaft
118.8800EUR +0.27% thesaurierend Aktien weltweit LLB Invest KAG 
 

Monatliche Performance

  Jan Feb Mär Apr Mai Jun Jul Aug Sep Okt Nov Dez Gesamt
2007 - - - - - - - - - - -6.81 2.33 -
2008 1.14 8.58 -10.03 -1.01 5.24 2.44 -8.52 -7.36 1.12 -6.21 -2.12 2.64 -14.86%
2009 2.10 1.06 -3.40 -1.34 19.56 -4.82 -1.55 3.95 7.72 2.89 14.82 -4.75 +38.82%
2010 -6.37 -1.06 0.07 10.60 2.99 4.09 -10.10 11.09 6.64 0.51 8.53 3.63 +32.32%
2011 -9.89 2.03 -0.99 0.92 -4.91 -6.52 5.56 2.98 -7.90 0.94 -5.62 -4.78 -25.83%
2012 4.98 1.29 -13.35 -1.13 -1.73 -2.81 2.83 2.81 13.40 -4.09 -5.25 -8.24 -13.03%
2013 -4.98 -1.23 -0.26 4.21 0.88 -0.72 -3.39 1.29 -8.23 -0.94 -13.43 -3.14 -27.13%
2014 3.36 12.64 -7.60 0.40 -4.55 16.13 2.55 -3.59 -14.23 -7.35 1.23 -4.88 -9.41%
2015 8.54 -4.77 -6.93 4.90 -2.01 -3.46 -6.92 -0.45 -4.14 4.09 -11.14 -1.96 -23.11%
2016 -4.72 31.95 4.85 25.65 -8.17 25.23 9.18 -12.23 2.50 -9.63 -8.84 1.24 +56.02%
2017 8.90 -1.71 -2.48 -6.56 -0.15 2.71 -0.83 2.35 -2.84 -2.77 -2.92 7.64 +0.24%
2018 -7.34 -3.75 -1.68 6.98 3.73 1.20 -3.77 -11.83 -4.77 6.73 -4.56 12.76 -8.60%
2019 7.62 2.18 -0.33 -7.70 -0.79 19.70 16.26 5.60 -8.30 -0.59 1.29 10.37 +50.31%
2020 -0.29 -1.91 -24.03 49.77 1.05 3.77 15.25 -1.02 -5.61 -6.21 -6.93 6.67 +17.01%
2021 -4.98 -2.00 -7.30 8.84 14.21 -13.16 1.28 -7.26 -8.87 15.25 -0.46 -5.06 -13.14%
2022 -7.22 14.00 12.89 -2.58 -10.63 -9.57 -2.01 -6.74 0.23 0.87 8.51 0.81 -4.97%
2023 7.25 -11.50 15.38 1.63 -5.92 -5.61 3.39 -3.30 -6.64 5.70 4.17 -1.59 -0.03%
2024 -6.38 -10.85 20.43 11.18 4.56 -4.55 6.69 0.14 - - - - -

Kennzahlen

  lfd. Jahr 6 Monate 1 Jahr 3 Jahre 5 Jahre
Volatilität 28.58% 28.75% 27.50% 29.43% 36.46%
Sharpe Ratio 1.02 2.85 0.87 -0.01 0.00
Bester Monat +20.43% +20.43% +20.43% +20.43% +49.77%
Schlechtester Monat -10.85% -10.85% -10.85% -11.50% -24.03%
Maximaler Verlust -16.22% -12.49% -19.81% -38.90% -44.44%
Outperformance -20.83% - -15.64% -11.34% -71.38%
 
Alle Kurse in EUR

Tranchen

Titel   Ertragstyp Rückn. Preis 1 Jahr 3 Jahre
I-AM Gold Equities Fund I2 A ausschüttend 137.3900 +29.13% +14.51%
I-AM Gold Equities Fund (I) (A) vollthesaurierend 135.7500 +28.42% +12.76%
I-AM Gold Equities Fund (R) (VT) vollthesaurierend 122.3600 +27.41% +10.23%
I-AM Gold Equities Fund (I) (T) thesaurierend 131.8200 +28.43% +12.77%
I-AM Gold Equities Fund (R) (T) thesaurierend 118.8800 +27.39% +10.21%

Performance

lfd. Jahr  
+19.17%
6 Monate  
+36.11%
1 Jahr  
+27.39%
3 Jahre  
+10.21%
5 Jahre  
+19.07%
10 Jahre  
+42.92%
seit Beginn  
+21.22%
Jahr
2023
  -0.03%
2022
  -4.97%
2021
  -13.14%
2020  
+17.01%
2019  
+50.31%
2018
  -8.60%
2017  
+0.24%
2016  
+56.02%
2015
  -23.11%
 

Ausschüttungen

29.12.2011 1.64 EUR
30.12.2010 0.45 EUR
30.12.2009 0.17 EUR