NAV07.10.2024 Diff.-5,5500 Ertragstyp Ausrichtung Fondsgesellschaft
532,0100CHF -1,03% thesaurierend Aktien weltweit Robeco Inst. AM 
 

Monatliche Performance

  Jän Feb Mär Apr Mai Jun Jul Aug Sep Okt Nov Dez Gesamt
2006 - - - - - - - - - 3,65 -0,62 5,66 -
2007 3,29 -2,60 3,09 4,58 4,41 0,60 -3,48 1,44 -0,53 2,93 -6,45 0,53 +7,41%
2008 -14,70 -0,05 -7,57 10,73 4,57 -10,16 0,39 4,45 -16,63 -21,50 -1,45 -5,84 -47,80%
2009 2,03 -7,87 0,73 11,40 1,94 4,00 6,20 0,89 3,13 -0,92 2,41 7,00 +34,16%
2010 -1,41 3,02 2,25 2,99 -4,66 -8,25 4,59 -10,93 6,01 4,68 -0,26 0,49 -3,05%
2011 0,74 -0,86 0,42 -1,89 -4,44 -3,36 -9,84 -3,93 -0,46 3,62 1,45 -0,35 -17,92%
2012 5,02 3,62 2,62 -0,20 -2,34 0,95 4,44 -0,91 0,99 -2,14 2,35 2,34 +17,71%
2013 4,74 3,74 2,94 -0,12 4,37 -4,58 2,84 -0,24 3,95 3,68 1,37 1,67 +26,81%
2014 -0,21 2,79 0,11 -0,64 4,77 1,06 -2,21 2,09 -0,68 2,24 0,65 2,38 +12,84%
2015 -8,84 7,40 0,83 0,24 1,59 -3,15 1,81 -5,48 -1,63 8,57 5,28 -5,06 0,00%
2016 -2,35 -2,61 4,12 2,58 5,64 -2,37 3,40 0,99 0,72 -2,67 1,19 -0,30 +8,19%
2017 0,05 3,12 2,83 3,26 1,05 -0,94 1,92 1,22 2,61 6,36 -0,30 -0,77 +22,14%
2018 -0,26 -3,54 0,16 2,60 -0,75 -1,24 3,59 -2,75 1,12 -5,85 3,02 -7,89 -11,80%
2019 9,45 4,79 0,86 4,59 -7,31 4,98 -0,42 -2,50 3,70 3,21 2,95 1,09 +27,31%
2020 -1,27 -8,27 -14,44 10,32 6,15 0,72 4,11 3,80 1,57 -1,09 8,99 2,80 +11,18%
2021 2,46 1,58 9,32 2,78 0,85 2,71 2,74 3,83 -5,61 3,42 1,05 4,08 +32,66%
2022 -7,63 -6,06 -1,55 -1,10 -1,37 -8,72 8,47 -5,82 -8,94 8,36 2,68 -5,03 -25,22%
2023 8,85 -0,19 -2,28 -2,66 -2,14 5,10 -0,91 -0,02 -3,10 -7,04 8,47 4,98 +8,00%
2024 -1,01 8,57 5,97 -2,46 2,04 -3,12 5,62 -2,78 2,35 -1,19 - - -

Kennzahlen

  lfd. Jahr 6 Monate 1 Jahr 3 Jahre 5 Jahre
Volatilität 14,81% 15,74% 14,88% 17,20% 18,52%
Sharpe Ratio 1,05 -0,12 1,34 -0,20 0,27
Bester Monat +8,57% +5,62% +8,57% +8,85% +10,32%
Schlechtester Monat -3,12% -3,12% -7,04% -8,94% -14,44%
Maximaler Verlust -10,07% -10,07% -10,07% -30,79% -34,87%
Outperformance -0,98% - -1,38% +12,05% +19,33%
 
Alle Kurse in CHF

Tranchen

Titel   Ertragstyp Rückn. Preis 1 Jahr 3 Jahre
Robeco Sustainable Water Z USD thesaurierend 134,5700 +32,65% -
Robeco Sustainable Water G GBP ausschüttend 316,1600 +22,69% +15,01%
Robeco Sustainable Water M2 EUR thesaurierend 504,9900 +24,38% +11,18%
Robeco Sustainable Water I CHF thesaurierend 624,3600 +24,00% +2,04%
Robeco Sustainable Water I EUR thesaurierend 668,6900 +26,28% +16,41%
Robeco Sustainable Water I GBP thesaurierend 560,7300 +22,72% +15,11%
Robeco Sustainable Water I USD thesaurierend 729,7900 +31,44% +10,52%
Robeco Sustainable Water Z EUR thesaurierend 628,3600 +27,44% +19,66%
Robeco Sustainable Water F CHF thesaurierend 165,8800 +23,96% +1,95%
Robeco Sustainable Water F EUR thesaurierend 410,4400 +26,24% +16,30%
Robeco Sustainable Water F USD thesaurierend 183,8000 +31,40% +10,42%
Robeco Sustainable Water G EUR ausschüttend 188,4100 +26,25% +16,30%
Robeco Sustainable Water D CHF thesaurierend 532,0100 +23,04% -0,32%
Robeco Sustainable Water D USD thesaurierend 610,1900 +30,42% +7,96%
Robeco Sustainable Water E EUR ausschüttend 240,3800 +25,30% +13,71%
Robeco Sustainable Water D EUR thesaurierend 572,8900 +25,31% +13,73%

Performance

lfd. Jahr  
+14,04%
6 Monate  
+0,70%
1 Jahr  
+23,04%
3 Jahre
  -0,32%
5 Jahre  
+48,79%
10 Jahre  
+116,88%
seit Beginn  
+121,15%
Jahr
2023  
+8,00%
2022
  -25,22%
2021  
+32,66%
2020  
+11,18%
2019  
+27,31%
2018
  -11,80%
2017  
+22,14%
2016  
+8,19%
2015  
0,00%