Lazard Emerging Markets Equity Fund A Dist USD/  IE00B1L6MF22  /

Fonds
NAV04/11/2024 Chg.+0.8439 Type of yield Investment Focus Investment company
125.4949USD +0.68% paying dividend Equity Emerging Markets Lazard Fund M. (IE) 
  • Dividends adjusted Dividends adjusted

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2007 - - - 5.39 5.98 1.86 2.72 -3.81 9.61 6.64 -4.64 1.42 -
2008 -7.84 6.36 -5.76 6.03 1.59 -8.42 2.00 -4.74 -18.03 -27.95 -8.41 7.54 -48.50%
2009 -7.15 -5.96 13.53 18.15 14.32 0.75 10.07 3.37 7.82 1.48 0.66 4.40 +76.47%
2010 -3.63 -0.83 10.41 2.21 -9.78 0.19 9.12 -2.32 10.82 1.97 -2.57 6.31 +21.62%
2011 -5.48 -1.00 5.40 3.03 -2.24 -0.59 -0.22 -7.76 -12.29 11.94 -7.90 -0.75 -18.41%
2012 12.12 7.27 -2.48 -2.29 -11.13 4.20 4.34 -0.71 5.82 -1.03 -0.67 6.31 +21.59%
2013 1.22 0.44 -2.35 1.16 -2.68 -6.51 1.64 -2.83 9.25 4.06 -2.94 -0.83 -1.24%
2014 -8.55 2.45 5.63 0.28 5.72 3.13 1.19 1.91 -8.84 2.62 -1.41 -7.25 -4.55%
2015 -0.81 1.94 -3.31 7.01 -3.81 -2.18 -5.18 -10.27 -5.12 7.32 -2.34 -4.15 -20.15%
2016 -3.70 -1.39 14.16 2.78 -3.82 5.50 5.06 1.41 2.28 1.25 -5.76 2.43 +20.42%
2017 5.06 2.81 2.12 1.72 0.86 -0.68 5.42 1.95 -0.60 2.32 -0.42 4.20 +27.49%
2018 8.12 -4.27 -2.26 -2.37 -6.52 -4.44 2.71 -4.02 -0.48 -6.82 3.16 -2.85 -19.16%
2019 10.93 -2.99 -0.49 2.34 -4.58 5.11 -1.93 -5.48 3.55 3.69 -0.04 7.39 +17.44%
2020 -6.39 -7.03 -20.18 7.15 1.91 3.07 5.36 -0.96 -1.69 -0.13 14.31 8.70 -0.47%
2021 0.12 1.94 2.55 0.86 5.68 -1.39 -4.09 2.68 -2.82 0.06 -4.49 4.28 +4.90%
2022 1.73 -4.89 -1.93 -5.31 3.08 -9.79 1.34 -1.67 -10.96 1.29 14.06 -2.57 -16.56%
2023 8.85 -3.49 2.84 0.86 -1.81 6.44 4.12 -4.38 -1.30 -1.85 7.07 4.21 +22.54%
2024 -3.47 4.51 1.72 0.64 2.53 2.74 0.67 2.36 5.16 -5.31 1.29 - -
Single months: Dividends not considered

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 13.77% 14.63% 13.45% 14.56% 17.99%
Sharpe ratio 0.92 0.65 1.33 0.13 0.09
Best month +5.16% +5.16% +7.07% +14.06% +14.31%
Worst month -5.31% -5.31% -5.31% -10.96% -20.18%
Maximum loss -8.79% -8.79% -8.79% -30.33% -37.86%
Outperformance -11.38% - -11.86% -18.51% -26.16%
 
All quotes in USD

Share classes

Name   Type of yield Repurchase p. 1 Year 3 Years
Lazard Em.Markets Eq.F.A Acc GB... reinvestment 158.3490 +15.10% +20.33%
Lazard Em.Markets Eq.F.S Dis USD paying dividend 1.1047 +20.96% +15.99%
Lazard Em.Markets Eq.F.S Acc GBP reinvestment 1.7280 +15.28% +20.88%
Lazard Em.Markets Eq.F.S Dis GBP paying dividend 1.3299 +15.25% +20.82%
Lazard Em.Markets Eq.F.S Acc EUR reinvestment 1.3629 +19.24% +23.26%
Lazard Em.Markets Eq.F.S Dis EUR paying dividend 1.2082 +19.24% -
Lazard Em.Markets Eq.F.BP Acc US... reinvestment 12.4493 +19.89% +12.90%
Lazard Em.Markets Eq.F.BP Dis US... paying dividend 9.9562 +19.89% +12.93%
Lazard Em.Markets Eq.F.C Acc EUR reinvestment 1.3312 +19.06% +22.70%
Lazard Emerging Markets Equity F... paying dividend 125.4949 +20.78% +15.46%
Lazard Em.Markets Eq.F.S Acc USD reinvestment 1.4665 +20.97% +16.00%
Lazard Em.Markets Eq.F.A Dis EUR paying dividend 124.2348 +19.05% +22.62%
Lazard Em.Markets Eq.F.A Acc USD reinvestment 1.3246 +20.78% +15.46%
Lazard Em.Markets Eq.F.A Acc EUR reinvestment 1.3579 +19.06% +22.68%
Lazard Em.Markets Eq.F.A Dis EUR... paying dividend 0.8539 +18.58% +7.22%
Lazard Em.Markets Eq.F.B Acc USD reinvestment 1.1701 +20.20% +13.76%

Performance

YTD  
+13.08%
6 Months  
+6.11%
1 Year  
+20.78%
3 Years  
+15.46%
5 Years  
+26.28%
10 Years  
+29.64%
Since start  
+84.23%
Year
2023  
+22.54%
2022
  -16.56%
2021  
+4.90%
2020
  -0.47%
2019  
+17.44%
2018
  -19.16%
2017  
+27.49%
2016  
+20.42%
2015
  -20.15%
 

Dividends

01/10/2024 3.58 USD
02/04/2024 0.65 USD
02/10/2023 3.44 USD
03/04/2023 0.78 USD
03/10/2022 3.94 USD
01/04/2022 0.66 USD
01/10/2021 2.62 USD
01/04/2021 0.53 USD
01/10/2020 1.28 USD
01/04/2020 0.76 USD
01/10/2019 1.89 USD
01/04/2019 0.53 USD
03/04/2018 0.39 USD
02/10/2017 1.67 USD
03/04/2017 0.23 USD
03/10/2016 1.02 USD
01/04/2016 0.25 USD
01/10/2015 1.16 USD
01/04/2015 0.38 USD
01/10/2014 1.60 USD
01/04/2014 0.34 USD
30/09/2013 1.62 USD
02/04/2013 0.39 USD
01/10/2012 1.49 USD
02/04/2012 0.41 USD
03/10/2011 1.93 USD
01/04/2011 0.60 USD
01/10/2010 1.52 USD
01/04/2010 0.64 USD
01/10/2009 1.34 USD
30/03/2009 0.49 USD
30/09/2008 1.53 USD
01/04/2008 1.45 USD
02/10/2007 0.76 USD