Schroder International Selection Fund Asian Total Return A Distribution GBP AV/  LU0378801590  /

Fonds
NAV26/07/2024 Chg.+3.3667 Type de rendement Focus sur l'investissement Société de fonds
405.3738GBP +0.84% paying dividend Equity Asia/Pacific Schroder IM (EU) 
  • Dividendes ajustés Dividendes ajustés

Performance mensuelle

  janv. févr. mars avr. mai juin juil. août sept. oct. nov. déc. Total
2008 - - - - - - - 3.48 -10.74 -11.82 -1.41 13.36 -
2009 0.09 -2.73 7.00 11.21 7.01 0.73 7.80 1.43 7.61 -0.89 2.87 6.21 +59.11%
2010 -3.15 5.81 7.26 2.37 -1.13 -0.50 1.83 1.76 6.78 -0.21 1.63 4.40 +29.67%
2011 -4.42 -3.34 4.57 1.14 1.90 2.67 0.50 -3.77 -8.21 5.70 -1.07 0.66 -4.49%
2012 5.27 2.39 -0.30 0.96 -2.47 0.51 3.41 -0.95 3.16 1.69 1.61 0.09 +16.24%
2013 6.53 6.78 1.74 -0.67 0.31 -5.63 0.01 -5.97 0.69 3.84 -3.41 -1.13 +2.18%
2014 -3.50 2.74 2.62 1.20 1.14 -0.83 2.78 3.89 -1.05 2.41 2.45 -1.35 +12.93%
2015 7.06 0.26 3.68 -4.22 0.86 -6.29 -0.48 -3.58 0.43 2.42 0.88 1.14 +1.46%
2016 0.68 3.95 1.11 -2.04 1.32 10.07 7.85 3.13 1.68 4.42 -5.12 -0.82 +28.46%
2017 4.17 2.78 3.44 0.37 2.53 2.48 2.55 3.91 -3.26 5.31 -1.02 1.40 +27.27%
2018 -0.19 0.35 -4.36 1.60 4.22 -2.62 -0.35 -0.98 -1.60 -7.40 3.93 -2.69 -10.18%
2019 3.50 1.49 3.73 3.22 -3.94 5.63 2.86 -4.59 -0.24 -0.67 1.19 1.54 +14.03%
2020 -1.02 -3.97 -10.41 10.04 0.94 9.99 1.64 3.42 3.76 1.69 4.29 4.80 +26.12%
2021 3.75 0.73 -1.09 2.75 -2.99 1.39 -3.60 3.76 -1.98 -0.46 1.57 1.62 +5.21%
2022 -4.99 -1.85 -0.31 -2.94 -0.23 -7.06 3.62 3.05 -6.23 -4.98 11.39 -3.15 -14.10%
2023 6.79 -3.29 0.67 -2.24 -0.39 0.80 1.92 -3.62 1.25 -2.60 4.15 4.23 +7.31%
2024 -2.83 4.11 3.42 -0.28 -0.28 4.68 -2.58 - - - - - -
Mois uniques : Dividendes non pris en compte

Valeurs calculées

  CAD 6 Mois 1 An 3 Ans 5 Ans
Volatilité 11.10% 10.70% 10.68% 13.69% 15.96%
Ratio de Sharpe 0.66 1.39 0.74 -0.24 0.06
Le meilleur mois +4.68% +4.68% +4.68% +11.39% +11.39%
Le plus défavorable mois -2.83% -2.83% -3.62% -7.06% -10.41%
Perte maximale -5.75% -4.88% -6.61% -22.92% -25.72%
Surperformance -3.78% - -3.34% +19.04% +16.64%
 
Toutes les cotations dans GBP

Tranches

Nom   Type de rendement Prix de rachat 1 An 3 Ans
Schroder International Selection... reinvestment 402.5796 +11.87% -3.84%
Schroder International Selection... reinvestment 496.1454 +13.26% -0.21%
Schroder International Selection... paying dividend 433.4992 +12.23% +2.98%
Schroder International Selection... reinvestment 299.3601 +9.54% -10.90%
Schroder International Selection... reinvestment 330.1350 +10.59% -7.11%
Schroder International Selection... paying dividend 458.1492 +12.79% +4.52%
Schroder International Selection... reinvestment 423.9359 +12.43% -2.39%
Schroder International Selection... paying dividend 341.3958 +12.43% -2.39%
Schroder International Selection... reinvestment 360.3012 +11.26% -5.42%
Schroder International Selection... paying dividend 405.3738 +11.61% +1.29%
Schroder International Selection... reinvestment 270.1788 +8.94% -12.37%
Schroder International Selection... reinvestment 335.0257 +10.70% -6.83%
Schroder International Selection... paying dividend 18.9988 +12.58% -6.63%
Schroder ISF As.T.Ret.A1 Acc PLN... reinvestment 1,032.5562 +10.55% -4.93%

Performance

CAD  
+6.09%
6 Mois  
+8.86%
1 An  
+11.61%
3 Ans  
+1.29%
5 Ans  
+25.88%
10 ans  
+136.19%
Depuis le début  
+429.37%
Année
2023  
+7.31%
2022
  -14.10%
2021  
+5.21%
2020  
+26.12%
2019  
+14.03%
2018
  -10.18%
2017  
+27.27%
2016  
+28.46%
2015  
+1.46%
 

Dividendes

28/12/2023 11.02 GBP
15/12/2022 10.98 GBP
16/12/2021 9.62 GBP
17/12/2020 5.98 GBP
19/12/2019 8.37 GBP
20/12/2018 8.11 GBP
21/12/2017 5.09 GBP
15/12/2016 5.50 GBP
17/12/2015 5.16 GBP
18/12/2014 4.81 GBP
16/01/2014 4.21 GBP
17/01/2013 0.92 GBP
19/01/2012 1.27 GBP
21/01/2011 0.81 GBP
22/06/2010 0.01 GBP
30/12/2009 1.25 GBP