LO Funds - Convertible Bond Asia, Syst. NAV Hdg, (EUR) NA/  LU0394780489  /

Fonds
NAV04/11/2024 Var.+0.1409 Type of yield Focus sugli investimenti Società d'investimento
17.7842EUR +0.80% reinvestment Bonds Asia Lombard Odier F.(EU) 
 

Performance mensile

  gen feb mar apr mag giu lug ago set ott nov dic Totale
2009 0.00 1.18 0.39 4.46 3.90 0.98 4.42 1.44 2.17 0.16 1.71 0.48 +23.35%
2010 0.32 0.48 3.17 1.23 -5.69 2.41 3.93 0.83 4.50 3.23 -0.70 1.22 +15.53%
2011 -0.03 -1.64 2.13 2.88 -0.71 -1.83 0.01 -3.45 -7.46 4.39 -3.28 0.31 -8.86%
2012 3.60 3.00 -0.94 0.24 -3.39 1.79 1.69 0.76 1.59 0.58 0.44 1.28 +10.96%
2013 1.35 0.07 -0.09 1.83 -1.06 -3.05 0.77 -0.81 1.63 1.47 -0.71 -0.36 +0.94%
2014 -1.35 1.05 -0.49 1.51 1.78 0.85 0.52 0.37 -2.55 -0.04 0.58 -1.23 +0.92%
2015 1.24 0.84 1.17 7.03 -0.64 -3.13 -2.44 -2.51 -0.78 2.43 0.19 0.05 +3.11%
2016 -1.94 -0.31 2.60 -0.48 -0.47 0.31 0.85 1.61 0.01 -0.43 -1.18 -0.68 -0.18%
2017 0.59 0.75 0.51 0.33 0.16 0.22 2.27 0.01 1.35 1.27 -0.89 0.98 +7.78%
2018 2.76 -2.39 0.63 -0.74 -0.04 -3.22 -0.17 -0.45 -0.02 -3.18 0.65 -1.14 -7.24%
2019 1.65 1.52 0.39 -0.02 -2.43 2.03 -0.78 -1.68 0.16 1.22 -0.07 2.16 +4.12%
2020 -1.30 0.67 -8.97 3.53 1.50 5.38 4.52 2.81 -2.22 1.04 3.61 4.95 +15.61%
2021 1.96 1.46 -0.61 2.22 -0.54 -0.38 -4.80 1.30 -3.12 0.77 -2.87 -0.46 -5.22%
2022 -3.09 -1.20 -1.66 -3.03 -0.58 -1.37 -2.05 -0.74 -4.13 -2.22 5.51 1.45 -12.65%
2023 4.10 -3.88 2.71 -0.67 -1.72 2.25 5.72 -3.20 -1.78 -1.64 3.15 1.69 +6.36%
2024 -1.76 1.82 2.26 0.14 1.59 1.44 -2.89 0.99 6.12 -1.17 0.80 - -

Calculated values

  YTD 6 mesi 1 anno 3 anni 5 anni
Volatilità 8.84% 10.42% 8.63% 7.63% 8.00%
Indice di Sharpe 0.93 0.82 0.95 -0.46 -0.08
Mese migliore +6.12% +6.12% +6.12% +6.12% +6.12%
Mese peggiore -2.89% -2.89% -2.89% -4.13% -8.97%
Perdita massima -7.34% -7.34% -7.34% -21.05% -27.89%
Outperformance +0.86% - 0.00% -0.54% -5.91%
 
Tutte le quotazioni in EUR

Tranches

Nome   Type of yield Prezzo di riacquisto 1 anno 3 anni
LO Funds - Convertible Bond Asia... reinvestment 15.5751 +8.50% -5.76%
LO Funds - Convertible Bond Asia... reinvestment 17.7842 +11.22% -1.34%
LO Funds - Convertible Bond Asia... reinvestment 21.5218 +13.16% +4.98%
LO Funds - Convertible Bond Asia... reinvestment 17.3896 +9.47% -3.21%
LO Funds - Convertible Bond Asia... paying dividend 20.7578 +13.17% +4.98%
LO Funds - Convertible Bond Asia... reinvestment 21.9198 +14.17% -
LO Funds - Convertible Bond Asia... reinvestment 13.6105 +7.56% -8.22%
LO Funds - Convertible Bond Asia... paying dividend 13.5496 +7.56% -8.22%
LO Funds - Convertible Bond Asia... reinvestment 15.5492 +10.25% -3.91%
LO Funds - Convertible Bond Asia... paying dividend 15.4646 +10.25% -3.91%
LO Funds - Convertible Bond Asia... reinvestment 18.8157 +12.18% +2.25%
LO Funds - Convertible Bond Asia... reinvestment 13.8374 +9.38% -6.19%
LO Funds - Convertible Bond Asia... reinvestment 16.7316 +11.29% -0.18%
LO Fds.Conv.Bd.Asia MA EUR Sy.H reinvestment 16.8448 +10.99% -1.94%
LO Fds.Conv.Bd.Asia MD EUR Sy.H paying dividend 16.7062 +10.99% -
LO Fds.Conv.Bd.Asia MD CHF Sy.H paying dividend 14.6784 +8.28% -
LO Fds.Conv.Bd.Asia MA CHF Sy.H reinvestment 14.7445 +8.28% -
LO Funds - Convertible Bond Asia... reinvestment 20.3841 +12.93% -
LO Funds - Convertible Bond Asia... paying dividend 20.2441 +12.93% -

Prestazione

YTD  
+9.43%
6 mesi  
+5.63%
1 anno  
+11.22%
3 anni
  -1.34%
5 anni  
+12.67%
10 anni  
+18.50%
Dall'inizio  
+77.84%
Anno
2023  
+6.36%
2022
  -12.65%
2021
  -5.22%
2020  
+15.61%
2019  
+4.12%
2018
  -7.24%
2017  
+7.78%
2016
  -0.18%
2015  
+3.11%