NAV01/10/2024 Var.-0.1300 Type of yield Focus sugli investimenti Società d'investimento
163.1500EUR -0.08% paying dividend Mixed Fund Europe BANTLEON Invest AG 
  • Dividends adjusted Dividends adjusted

Performance mensile

  gen feb mar apr mag giu lug ago set ott nov dic Totale
2009 0.93 0.72 1.03 0.97 0.21 0.85 0.76 0.73 0.95 0.20 0.75 0.32 +8.76%
2010 0.99 0.79 0.53 0.33 -0.30 1.10 0.55 1.12 0.38 0.18 -1.92 -1.07 +2.65%
2011 0.38 0.03 2.12 0.84 1.04 -0.24 0.37 -1.30 -1.85 0.46 -0.30 0.08 +1.58%
2012 2.06 1.49 0.71 0.17 -0.28 0.54 1.04 0.35 0.60 1.31 0.94 0.73 +10.08%
2013 0.86 0.37 0.31 1.17 0.53 -1.12 0.98 0.39 1.11 0.93 1.02 0.19 +6.92%
2014 1.25 1.13 0.58 0.63 0.73 0.71 0.13 0.50 0.26 -0.32 0.54 0.29 +6.61%
2015 1.12 1.23 -0.25 -0.22 -0.16 -1.05 1.21 -0.35 -0.41 0.12 0.94 -0.23 +1.95%
2016 -0.64 -0.87 1.42 0.68 -0.31 -0.86 0.10 0.99 -0.28 0.29 -0.52 1.08 +1.05%
2017 0.75 1.20 0.64 0.33 1.01 0.13 -0.01 0.72 0.25 0.99 0.23 0.11 +6.52%
2018 0.44 -0.19 -0.56 0.92 -0.75 -0.54 0.64 -0.39 -0.28 -1.01 -1.27 -2.26 -5.17%
2019 1.72 0.77 0.38 1.30 -0.42 0.42 0.70 0.40 0.63 0.79 0.99 0.61 +8.59%
2020 0.74 -0.70 -10.31 3.42 1.76 1.51 0.71 0.83 -1.01 0.10 3.30 -0.42 -0.78%
2021 -0.20 1.30 0.57 0.74 -0.20 0.70 0.37 0.32 -0.38 0.10 -0.40 0.57 +3.54%
2022 -0.61 -1.60 -0.75 -1.38 -0.12 -3.77 3.06 -1.56 -3.49 1.38 2.59 0.54 -5.79%
2023 3.10 -0.50 -1.24 0.14 0.81 -0.04 1.29 -0.15 -0.11 0.32 1.44 3.06 +8.32%
2024 0.79 -2.08 1.83 0.34 1.46 0.46 1.08 1.35 0.83 -0.08 - - -
Mesi singoli: Dividendi non considerati

Calculated values

  YTD 6 mesi 1 anno 3 anni 5 anni
Volatilità 2.44% 1.93% 2.56% 3.48% 5.12%
Indice di Sharpe 2.02 4.08 2.99 -0.16 -0.14
Mese migliore +3.06% +1.46% +3.06% +3.10% +3.42%
Mese peggiore -2.08% -0.08% -2.08% -3.77% -10.31%
Perdita massima -2.37% -0.79% -2.37% -10.95% -16.70%
Outperformance +3.09% - +1.97% +3.91% +10.63%
 
Tutte le quotazioni in EUR

Prestazione

YTD  
+6.10%
6 mesi  
+5.43%
1 anno  
+10.94%
3 anni  
+8.57%
5 anni  
+13.68%
10 anni  
+26.30%
Dall'inizio  
+78.91%
Anno
2023  
+8.32%
2022
  -5.79%
2021  
+3.54%
2020
  -0.78%
2019  
+8.59%
2018
  -5.17%
2017  
+6.52%
2016  
+1.05%
2015  
+1.95%
 

Dividendi

18/12/2023 2.58 EUR
12/12/2019 0.51 EUR
02/01/2018 0.55 EUR
03/07/2017 0.91 EUR
01/07/2016 1.23 EUR
01/07/2015 1.27 EUR
01/07/2014 1.19 EUR
01/07/2013 1.15 EUR
02/07/2012 0.80 EUR
01/07/2011 0.95 EUR
30/06/2010 0.75 EUR
01/07/2009 0.38 EUR