VIG Russia Részvény Befektetési Alap I sorozat/  HU0000709514  /

Fonds
NAV02.05.2024 Diff.0.0000 Ertragstyp Ausrichtung Fondsgesellschaft
0.1990HUF 0.00% - - AEGON Magyarország Befektetési Alapkezelő Zrt. 
 

Monatliche Performance

  Jan Feb Mär Apr Mai Jun Jul Aug Sep Okt Nov Dez Gesamt
2011 1.52 1.92 -2.61 -7.26 -1.28 -0.24 4.09 -11.25 -9.68 19.19 6.09 -9.64 -12.25%
2012 6.03 6.83 -5.57 -3.03 -10.78 2.92 1.09 1.02 3.84 -2.46 -1.36 9.54 +6.45%
2013 2.97 -1.18 0.62 -5.75 -3.05 -2.34 0.89 0.21 6.91 0.51 -0.88 1.22 -0.40%
2014 -5.50 -2.27 -5.35 -5.90 11.30 7.00 -6.80 2.13 -2.14 -1.29 -10.79 -14.38 -31.20%
2015 1.25 19.66 0.13 12.43 0.85 -4.48 -5.19 -3.77 -4.54 7.52 5.75 -13.53 +12.51%
2016 -1.46 0.91 10.13 5.20 -1.69 2.21 0.95 3.18 3.39 2.43 7.10 11.14 +52.01%
2017 -2.53 -5.49 1.04 -1.95 -7.65 -4.13 -1.26 6.98 6.63 -0.81 -2.85 1.38 -11.09%
2018 7.40 3.29 -5.22 -3.03 5.71 3.28 0.76 -3.87 8.98 -2.06 -1.76 -5.26 +7.12%
2019 10.14 -1.71 3.68 3.57 3.63 6.70 2.40 -1.71 4.51 1.73 2.97 4.99 +48.72%
2020 2.77 -14.58 -15.15 12.68 2.13 1.56 -3.26 3.02 -1.98 -5.09 8.46 7.38 -5.99%
2021 -2.78 3.35 8.95 -3.71 4.26 7.33 1.02 -0.11 9.85 4.86 -8.13 -0.13 +25.77%
2022 -10.40 -65.72 -52.50 - - - - - - - - - -
2023 - - -68.12 -0.50 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 -
2024 0.00 0.00 0.00 0.00 0.00 - - - - - - - -

Kennzahlen

  lfd. Jahr 6 Monate 1 Jahr 3 Jahre 5 Jahre
Volatilität 0.00% 0.00% 0.00% 56.03% 46.78%
Sharpe Ratio - - - -1.18 -0.96
Bester Monat 0.00% 0.00% 0.00% +9.85% +12.68%
Schlechtester Monat 0.00% 0.00% 0.00% -68.12% -68.12%
Maximaler Verlust 0.00% 0.00% 0.00% -96.03% -96.03%
Outperformance - - - - -
 
Alle Kurse in HUF

Performance

lfd. Jahr     0.00%
6 Monate     0.00%
1 Jahr     0.00%
3 Jahre
  -94.58%
5 Jahre
  -92.98%
seit Beginn
  -91.17%
Jahr
2021  
+25.77%
2020
  -5.99%
2019  
+48.72%
2018  
+7.12%
2017
  -11.09%
2016  
+52.01%
2015  
+12.51%