JSS Sust.Bond-Gl.High Yield I EUR dist h/  LU1711709664  /

Fonds
NAV26/08/2024 Chg.+0.1100 Type of yield Investment Focus Investment company
83.6900EUR +0.13% paying dividend Bonds Worldwide J.S.Sarasin Fd.M. LU 
  • Dividends adjusted Dividends adjusted

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2018 - - - -0.08 -1.13 -0.43 1.36 -0.18 0.04 -1.52 -1.23 -1.50 -
2019 3.18 1.25 0.63 1.25 -1.01 2.21 0.23 0.17 0.78 0.23 0.65 1.45 +11.53%
2020 0.25 -1.71 -13.16 3.82 3.07 2.16 2.92 1.67 -0.49 0.28 3.94 1.65 +3.18%
2021 0.19 0.24 -0.42 0.96 0.49 0.58 0.40 0.33 -0.21 -0.65 -1.06 1.27 +2.10%
2022 -2.44 -1.92 -0.63 -3.00 -0.10 -7.37 3.92 -1.66 -4.91 1.09 3.61 0.26 -12.91%
2023 3.30 -1.64 -0.50 -0.58 -0.91 0.75 1.36 -0.41 -0.63 -1.32 4.08 3.08 +6.54%
2024 0.53 0.27 1.11 -0.94 1.11 0.65 1.68 1.48 - - - - -
Single months: Dividends not considered

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 2.69% 2.74% 3.08% 4.57% 5.39%
Sharpe ratio 2.21 2.55 2.84 -0.92 -0.40
Best month +3.08% +1.68% +4.08% +4.08% +4.08%
Worst month -0.94% -0.94% -1.32% -7.37% -13.16%
Maximum loss -1.65% -1.65% -2.66% -18.41% -20.07%
Outperformance +3.20% - +3.59% - -
 
All quotes in EUR

Share classes

Name   Type of yield Repurchase p. 1 Year 3 Years
JSS Sust.Bond-Gl.High Yield I EU... paying dividend 83.6900 +12.19% -2.09%
JSS Sust.Bond-Gl.High Yield Y EU... reinvestment 114.2600 +12.11% -2.02%
JSS Sustainable Bond - Global Hi... paying dividend 95.4200 +11.49% -7.07%
JSS Sust.Bond-Gl.High Yield P US... reinvestment 119.3700 +13.43% +1.75%
JSS Sust.Bond-Gl.High Yield P US... paying dividend 95.8700 +13.44% +1.72%
JSS Sust.Bond-Gl.High Yield P CH... reinvestment 98.5700 +8.62% -8.30%
JSS Sust.Bond-Gl.High Yield P EU... reinvestment 103.8100 +11.31% -4.40%
JSS Sust.Bond-Gl.High Yield C EU... paying dividend 85.6600 +11.69% -3.45%

Performance

YTD  
+6.03%
6 Months  
+5.12%
1 Year  
+12.19%
3 Years
  -2.09%
5 Years  
+7.10%
10 Years     -
Since start  
+10.20%
Year
2023  
+6.54%
2022
  -12.91%
2021  
+2.10%
2020  
+3.18%
2019  
+11.53%
 

Dividends

08/08/2024 2.28 EUR
16/01/2024 2.01 EUR
03/08/2023 2.09 EUR
17/01/2023 1.74 EUR
28/07/2022 2.10 EUR
21/01/2022 1.78 EUR
22/07/2021 2.43 EUR
21/01/2021 1.76 EUR
23/07/2020 1.99 EUR
23/01/2020 2.10 EUR
25/07/2019 2.33 EUR
24/01/2019 2.23 EUR