Amundi Fds.Euro Aggregate Bd.M2 EUR/  LU1882469239  /

Fonds
NAV2024-05-27 Chg.+2.4400 Type of yield Investment Focus Investment company
873.3800EUR +0.28% paying dividend Bonds Worldwide Amundi Luxembourg 
  • Dividends adjusted Dividends adjusted

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2019 - - - - - - 1.75 1.68 -0.58 -0.49 -0.80 -0.41 -
2020 1.89 -0.23 -6.61 1.92 0.86 1.56 1.74 0.03 0.84 1.15 1.12 0.28 +4.33%
2021 -0.46 -1.44 0.19 -0.75 -0.25 0.55 1.42 -0.46 -0.77 -1.11 1.01 -0.88 -2.93%
2022 -1.22 -2.55 -1.62 -3.29 -1.72 -2.38 3.85 -4.29 -3.99 0.52 2.76 -3.17 -16.13%
2023 2.28 -1.95 1.39 0.15 0.41 -0.33 0.44 0.20 -1.94 0.48 2.48 3.20 +6.87%
2024 -0.23 -0.95 1.10 -1.15 0.57 - - - - - - - -
Single months: Dividends not considered

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 3.85% 4.15% 4.62% 5.27% -%
Sharpe ratio -1.43 0.65 0.09 -1.45 -
Best month +3.20% +3.20% +3.20% +3.85% +3.85%
Worst month -1.15% -1.15% -1.94% -4.29% -6.61%
Maximum loss -1.55% -2.08% -2.68% -19.47% -
Outperformance -1.31% - -0.53% - -
 
All quotes in EUR

Tranches

Name   Type of yield Repurchase p. 1 Year 3 Years
AMUNDI FUNDS EURO AGGREGATE BOND... reinvestment 122.6600 +3.64% -12.76%
AMUNDI FUNDS EURO AGGREGATE BOND... reinvestment 118.8700 +3.14% -13.81%
Amundi Fds.Euro Aggregate Bd.M E... reinvestment 132.1400 +4.19% -11.29%
Amundi Fds.Euro Aggregate Bd.E2 ... reinvestment 4.5220 +3.81% -12.11%
Amundi Fds.Euro Aggregate Bd.C E... reinvestment 42.6000 +2.58% -15.22%
Amundi Fds.Euro Aggregate Bd.M2 ... reinvestment 921.6500 +4.19% -11.10%
Amundi Fds.Euro Aggregate Bd.M2 ... paying dividend 873.3800 +4.19% -11.10%
Amundi Fds.Euro Aggregate Bd.M2 ... paying dividend 890.1000 +4.20% -11.12%
Amundi Fds.Euro Aggregate Bd.E2 ... paying dividend 4.2910 +3.82% -12.01%
Amundi Fds.Euro Aggregate Bd.E2 ... paying dividend 4.4460 +3.81% -12.11%
Amundi Fds.Euro Aggregate Bd.F E... paying dividend 4.3860 +3.37% -13.46%
Amundi Fds.Euro Aggregate Bd.R2 ... paying dividend 48.0800 +5.74% -7.06%
Amundi Fds.Euro Aggregate Bd.I2 ... paying dividend 439.2300 +4.63% -11.19%
Amundi Fds.Euro Aggregate Bd.F E... reinvestment 4.3940 +3.39% -13.50%
Amundi Fds.Euro Aggregate Bd.R2 ... paying dividend 43.7100 +4.61% -12.18%
AMUNDI FUNDS EURO AGGREGATE BOND... reinvestment 44.1900 +4.20% -12.98%
AMUNDI FUNDS EURO AGGREGATE BOND... reinvestment 9,715.7598 +4.05% -
AMUNDI FUNDS EURO AGGREGATE BOND... reinvestment 901.7500 +4.60% -10.15%
AMUNDI FUNDS EURO AGGREGATE BOND... reinvestment 1,338.3500 +4.23% -11.17%
Amundi Fds.Euro Aggregate Bd.I2 ... reinvestment 924.4200 +4.25% -10.99%
Amundi Fds.Euro Aggregate Bd.I2 ... paying dividend 875.5400 +4.30% -10.93%
Amundi Fds.Euro Aggregate Bd.I2 ... reinvestment 998.1200 +5.72% -6.71%
Amundi Fds.Euro Aggregate Bd.J2 ... reinvestment 930.2000 +4.38% -10.61%
Amundi Fds.Euro Aggregate Bd.R2 ... reinvestment 43.9500 +4.12% -
Amundi Fds.Euro Aggregate Bd.Z E... reinvestment 899.9400 +4.72% -11.19%
Amundi Fds.Euro Aggregate Bd.R2 ... paying dividend 44.4200 +4.06% -11.46%
AMUNDI FUNDS EURO AGGREGATE BOND... reinvestment 125.0400 +3.75% -12.52%
AMUNDI FUNDS EURO AGGREGATE BOND... paying dividend 110.7300 +3.75% -12.51%
Amundi Fds.Euro Aggregate Bd.A2 ... paying dividend 42.5200 +3.59% -12.65%
Amundi Fds.Euro Aggregate Bd.A2 ... reinvestment 48.3900 +5.24% -8.35%
Amundi Fds.Euro Aggregate Bd.A2 ... reinvestment 89.2400 +3.99% -12.83%
Amundi Fds.Euro Aggregate Bd.A2 ... paying dividend 89.9400 +3.61% -12.64%
Amundi Fds.Euro Aggregate Bd.A2 ... paying dividend 42.4800 +3.61% -12.63%

Performance

YTD
  -0.68%
6 Months  
+3.17%
1 Year  
+4.19%
3 Years
  -11.10%
5 Years
  -7.83%
10 Years     -
Since start
  -7.83%
Year
2023  
+6.87%
2022
  -16.13%
2021
  -2.93%
2020  
+4.33%
 

Dividends

2024-04-02 6.69 EUR
2024-01-02 5.32 EUR
2023-10-02 5.32 EUR
2023-07-03 5.32 EUR
2023-04-03 5.32 EUR
2023-01-02 1.02 EUR
2022-10-03 1.02 EUR
2022-07-01 1.02 EUR
2022-04-01 1.02 EUR
2022-01-03 1.05 EUR
2021-10-01 1.05 EUR
2021-07-01 1.05 EUR
2021-04-01 1.05 EUR
2021-01-04 1.02 EUR
2020-10-01 1.02 EUR
2020-07-01 1.02 EUR
2020-04-01 1.02 EUR
2020-01-02 3.00 EUR
2019-10-01 3.00 EUR
2019-07-01 3.01 EUR