NAV07/06/2024 Diferencia-0.2080 Tipo de beneficio Enfoque de la inversión Sociedad de fondos
49.7900USD -0.42% paying dividend Equity Mixed Sectors Allianz Gl.Investors 
  • Dividendos ajustados Dividendos ajustados

Rendimiento mensual

  ene. feb. mar. abr. may. jun. jul. ago. sep. oct. nov. dic. Total
2008 - - - - - - - - - - 2.44 8.57 -
2009 -7.93 -0.33 15.52 14.97 15.44 2.87 10.55 -5.24 5.08 3.96 2.55 1.65 +72.65%
2010 -7.18 0.61 5.31 -1.85 -4.55 -0.38 6.69 -1.73 11.95 4.62 0.78 -0.78 +12.72%
2011 -2.10 -2.71 4.17 0.63 -1.13 -3.00 -4.41 -8.81 -16.17 15.81 -6.22 0.89 -23.34%
2012 9.31 7.21 -7.31 1.76 -10.26 1.90 0.43 -2.05 5.83 4.45 1.11 4.95 +16.62%
2013 2.89 -2.94 -4.91 0.78 1.40 -8.14 3.46 3.61 4.51 3.99 4.57 -0.63 +7.92%
2014 -6.58 1.77 -3.13 -3.10 3.52 3.42 6.93 0.06 -4.74 4.16 0.58 4.36 +6.46%
2015 0.27 1.88 4.10 19.04 -0.56 -7.00 -11.26 -11.23 0.27 7.24 -1.61 -0.85 -3.27%
2016 -13.08 -0.91 10.96 -1.69 -1.42 0.96 3.01 6.93 1.77 -1.20 -0.62 -3.63 -0.83%
2017 5.18 1.72 1.22 1.15 4.28 1.14 6.86 3.02 -1.35 3.75 1.13 3.14 +35.78%
2018 10.96 -5.38 -3.78 0.46 2.18 -6.02 -2.30 -4.25 0.67 -11.13 5.68 -4.86 -17.99%
2019 8.88 3.90 1.59 0.88 -9.06 6.30 -0.32 -5.42 0.21 3.25 0.92 7.30 +18.37%
2020 -6.01 2.41 -6.70 6.53 1.46 12.54 11.42 5.69 -3.49 4.54 4.52 3.98 +41.05%
2021 6.01 -0.45 -5.89 3.43 1.42 -0.80 -12.53 0.04 -3.88 3.22 -6.01 -2.52 -17.78%
2022 -3.10 -1.96 -9.45 -3.59 1.25 5.31 -9.12 -0.85 -13.33 -16.69 29.03 6.39 -21.02%
2023 10.54 -12.40 2.62 -6.49 -8.49 3.79 11.09 -8.56 -3.03 -4.22 1.98 -4.25 -18.71%
2024 -10.27 8.55 0.04 4.98 2.42 1.18 - - - - - - -
Meses individuales: Dividendos no considerados

Valores estimados

  Año hasta la fecha 6 Meses Promedio móvil 3 Años 5 Años
Volatilidad 21.26% 20.98% 21.98% 28.18% 25.46%
Índice de Sharpe 0.51 0.56 -0.35 -0.79 -0.26
El mes mejor +8.55% +8.55% +11.09% +29.03% +29.03%
El mes peor -10.27% -10.27% -10.27% -16.69% -16.69%
Pérdida máxima -10.33% -11.46% -26.58% -54.82% -60.58%
Rendimiento superior +2.20% - +3.46% +2.14% -28.68%
 
Todas las cotizaciones en USD

Tramos

Nombre   Tipo de beneficio Prec. de rescate Promedio móvil 3 Años
Allianz China Equity - IT - USD reinvestment 2,503.5901 -2.98% -44.21%
Allianz China Equity - AT - SGD reinvestment 12.1550 -3.81% -44.40%
Allianz China Equity - A - HKD paying dividend 9.8780 -4.36% -45.49%
Allianz China Equity - PT - EUR reinvestment 1,561.9600 -4.68% -37.93%
Allianz China Equity - P - USD paying dividend 1,113.0300 -3.01% -44.28%
Allianz China Equity - WT - HKD reinvestment 1,549.6500 -3.03% -43.25%
Allianz China Equity - W - EUR paying dividend 1,164.5500 -4.56% -36.97%
AGIF-Allianz China Equity AT CNY... reinvestment 14.0010 -6.95% -48.24%
Allianz China Equity - AT - EUR reinvestment 97.9100 - -
Allianz China Equity - CT - EUR reinvestment 155.0200 -6.36% -40.93%
Allianz China Equity - A - EUR paying dividend 113.0800 -5.62% -39.53%
Allianz China Equity - AT - USD reinvestment 9.9100 -3.95% -45.88%
Allianz China Equity - RT - USD reinvestment 13.7290 -3.12% -44.48%
Allianz China Equity - A - USD paying dividend 49.7900 -3.92% -45.86%

Performance

Año hasta la fecha  
+6.00%
6 Meses  
+7.48%
Promedio móvil
  -3.92%
3 Años
  -45.86%
5 Años
  -13.92%
10 Años  
+11.62%
Desde el principio  
+79.37%
Año
2023
  -18.71%
2022
  -21.02%
2021
  -17.78%
2020  
+41.05%
2019  
+18.37%
2018
  -17.99%
2017  
+35.78%
2016
  -0.83%
2015
  -3.27%
 

Dividendos

15/12/2020 0.03 USD
16/12/2019 0.19 USD
15/12/2017 0.25 USD
15/12/2016 0.83 USD
15/12/2015 0.92 USD
15/12/2014 0.14 USD
16/12/2013 0.21 USD
17/12/2012 0.17 USD
15/12/2011 0.05 USD
15/12/2010 0.01 USD
15/12/2009 0.13 USD