LUXEMBOURG SELECTION FUND - Active Solar, Anteilsklasse C EUR/  LU0377296479  /

Fonds
NAV08/08/2024 Chg.+0.2800 Type de rendement Focus sur l'investissement Société de fonds
30.7200EUR +0.92% reinvestment Equity Worldwide UBS TPM. Co. 
 

Performance mensuelle

  janv. févr. mars avr. mai juin juil. août sept. oct. nov. déc. Total
2008 - - - - - - - - - -38.06 -16.52 0.75 -
2009 -11.27 -19.84 18.83 23.54 12.87 -2.29 3.46 -13.25 15.12 -10.91 11.18 16.22 +36.95%
2010 -13.46 -6.27 9.92 0.57 -17.11 -1.30 14.61 -0.20 15.64 -2.95 -15.65 4.02 -17.36%
2011 6.57 5.68 3.74 -4.53 -11.30 -3.28 -15.30 -17.39 -42.17 8.24 -17.54 -14.78 -70.55%
2012 22.60 -2.22 -14.10 -11.43 -19.82 6.18 -15.79 8.05 -0.26 -11.86 -1.89 18.29 -27.93%
2013 16.07 0.07 -10.21 27.68 26.45 -0.31 23.34 -4.23 15.47 6.49 6.55 -3.57 +150.52%
2014 10.53 10.67 -6.62 -7.57 4.25 6.48 -8.28 11.96 -0.11 -3.77 -6.97 -4.40 +2.92%
2015 -2.77 14.19 4.65 4.67 -3.48 -6.19 -12.16 -17.60 -2.68 13.83 -5.47 14.89 -4.10%
2016 -18.83 -4.11 0.49 0.67 -5.74 -6.27 -1.15 -4.90 -4.25 -3.00 -10.35 3.70 -43.54%
2017 2.28 7.04 -4.50 0.29 2.82 5.37 9.97 0.25 2.11 10.35 1.00 3.58 +47.63%
2018 2.83 -2.35 0.95 2.30 0.44 -16.45 1.87 -2.63 -8.02 -12.02 14.20 -12.28 -30.01%
2019 22.51 8.17 -9.21 6.44 4.37 7.04 1.54 2.91 -3.71 -3.64 2.32 10.37 +56.64%
2020 2.32 9.44 -27.03 20.20 8.59 9.77 19.36 20.27 14.46 9.51 13.45 14.57 +173.80%
2021 5.93 -9.02 -9.91 -4.49 -3.90 15.79 -4.05 4.52 -7.64 20.77 -9.84 -12.18 -18.28%
2022 -14.87 11.26 6.17 -12.50 12.09 0.09 13.72 -0.68 -12.91 -2.66 12.12 -10.70 -5.37%
2023 12.82 -6.75 -0.38 -6.90 -3.51 2.78 -3.82 -14.59 -9.67 -13.98 5.49 13.70 -25.91%
2024 -17.94 1.95 5.10 -10.47 15.70 -19.53 6.61 -4.71 - - - - -

Valeurs calculées

  CAD 6 Mois 1 An 3 Ans 5 Ans
Volatilité 33.99% 34.63% 33.62% 34.05% 36.32%
Ratio de Sharpe -1.25 -0.80 -1.16 -0.78 0.01
Le meilleur mois +15.70% +15.70% +15.70% +20.77% +20.77%
Le plus défavorable mois -19.53% -19.53% -19.53% -19.53% -27.03%
Perte maximale -27.60% -22.39% -39.60% -60.64% -64.74%
Surperformance -16.22% - +6.04% +108.81% +101.07%
 
Toutes les cotations dans EUR

Tranches

Nom   Type de rendement Prix de rachat 1 An 3 Ans
LUXEMBOURG SELECTION FUND - Acti... reinvestment 28.3200 -37.14% -55.88%
LUXEMBOURG SELECTION FUND - Acti... reinvestment 49.5000 -33.70% -51.33%
LUXEMBOURG SELECTION FUND - Acti... reinvestment 110.7400 -35.97% -56.06%
LUXEMBOURG SELECTION FUND - Acti... reinvestment 30.7200 -35.38% -54.05%
LUXEMBOURG SELECTION FUND - Acti... reinvestment 58.5900 -33.45% -49.50%
LUXEMBOURG SELECTION FUND - Acti... reinvestment 53.0100 -34.97% -53.78%
LUXEMBOURG SELECTION FUND - Acti... reinvestment 45.7000 -35.03% -
LUXEMBOURG SELECTION FUND - Acti... reinvestment 42.4700 -33.87% -50.32%

Performance

CAD
  -25.55%
6 Mois
  -12.80%
1 An
  -35.38%
3 Ans
  -54.05%
5 Ans  
+21.52%
10 ans
  -3.40%
Depuis le début
  -69.28%
Année
2023
  -25.91%
2022
  -5.37%
2021
  -18.28%
2020  
+173.80%
2019  
+56.64%
2018
  -30.01%
2017  
+47.63%
2016
  -43.54%
2015
  -4.10%