NAV31/10/2024 Var.-1.4400 Type of yield Focus sugli investimenti Società d'investimento
107.9700EUR -1.32% paying dividend Equity Worldwide MultiConcept Fund M. 
  • Dividends adjusted Dividends adjusted

Performance mensile

  gen feb mar apr mag giu lug ago set ott nov dic Totale
2015 - - 2.24 -0.65 1.81 -1.94 2.61 -4.19 -2.35 5.66 1.69 -0.52 -
2016 -7.85 -2.80 -1.44 1.97 3.08 -6.53 3.40 1.16 2.26 0.40 2.39 3.71 -1.08%
2017 0.25 0.87 3.83 3.09 1.96 1.39 0.81 -1.60 2.56 3.05 -1.76 0.90 +16.27%
2018 2.52 -3.50 -3.80 2.81 1.87 0.16 0.52 -1.76 1.38 -4.90 -0.58 -5.29 -10.53%
2019 5.08 2.92 0.84 3.84 -2.23 1.55 1.19 -0.66 3.66 -0.26 1.19 3.17 +21.97%
2020 0.00 -8.25 -17.49 -2.15 1.30 1.60 0.28 5.33 -4.19 -2.88 14.30 5.29 -9.83%
2021 -1.35 3.77 6.85 7.11 3.39 1.40 3.29 1.63 -0.31 4.31 -3.75 4.43 +34.77%
2022 -5.01 -5.33 3.35 -5.17 -0.40 -11.90 10.60 -6.41 -9.49 5.58 3.46 -5.34 -25.07%
2023 7.05 2.21 -6.29 2.80 3.19 3.42 1.68 -0.79 1.45 -6.65 13.36 6.03 +29.17%
2024 3.16 2.16 2.90 0.22 1.46 -2.36 4.29 -2.65 0.22 1.16 - - -
Mesi singoli: Dividendi non considerati

Calculated values

  YTD 6 mesi 1 anno 3 anni 5 anni
Volatilità 13.10% 14.86% 13.37% 16.71% 19.38%
Indice di Sharpe 0.77 0.06 2.26 -0.04 0.17
Mese migliore +6.03% +4.29% +13.36% +13.36% +14.30%
Mese peggiore -2.65% -2.65% -6.65% -11.90% -17.49%
Perdita massima -10.16% -10.16% -10.16% -29.85% -40.35%
Outperformance -9.49% - -11.38% -11.89% -7.64%
 
Tutte le quotazioni in EUR

Tranches

Nome   Type of yield Prezzo di riacquisto 1 anno 3 anni
PPF LPActive Value Fund ZFP CHF paying dividend 94.9500 +30.00% +1.09%
PPF - LPActive Value Fund EUR A paying dividend 107.9700 +33.21% +7.16%
PPF - LPActive Value Fund CHF reinvestment 231.6500 +29.40% +1.28%
PPF - LPActive Value Fund EUR reinvestment 400.6100 +33.22% +7.16%

Prestazione

YTD  
+10.82%
6 mesi  
+1.97%
1 anno  
+33.21%
3 anni  
+7.16%
5 anni  
+36.08%
10 anni     -
Dall'inizio  
+73.94%
Anno
2023  
+29.17%
2022
  -25.07%
2021  
+34.77%
2020
  -9.83%
2019  
+21.97%
2018
  -10.53%
2017  
+16.27%
2016
  -1.08%
 

Dividendi

28/03/2024 0.86 EUR
31/03/2023 1.48 EUR
31/03/2022 6.00 EUR
31/03/2021 6.40 EUR
31/03/2020 7.01 EUR
29/03/2019 9.26 EUR
29/03/2018 8.50 EUR
01/03/2017 5.76 EUR