NAV03/05/2024 Diferencia+1.0400 Tipo de beneficio Enfoque de la inversión Sociedad de fondos
212.8400EUR +0.49% paying dividend Equity Asia Baring Fund Managers 
  • Dividendos ajustados Dividendos ajustados

Rendimiento mensual

  ene. feb. mar. abr. may. jun. jul. ago. sep. oct. nov. dic. Total
1999 - 0.24 12.93 11.24 -3.15 11.63 -0.90 1.48 -2.97 2.95 13.54 10.39 +74.33%
2000 -6.08 0.46 5.89 -5.14 -10.10 9.27 -6.60 6.78 -8.45 0.03 -8.22 -10.48 -30.14%
2001 4.39 -4.37 -6.05 3.76 5.77 -2.53 -10.09 -7.95 -13.08 3.79 8.06 -0.25 -19.26%
2002 1.68 1.42 4.67 -1.99 -2.13 -9.27 -7.10 -1.52 -6.69 -2.52 2.67 -9.09 -27.04%
2003 -5.65 -1.12 -4.61 -0.10 0.20 9.56 6.78 12.42 -1.94 8.31 -7.62 0.08 +15.04%
2004 6.24 2.19 7.82 -0.95 -6.67 4.96 -4.45 0.72 -2.01 -0.97 2.51 0.76 +9.57%
2005 4.89 2.86 -2.15 -2.18 4.20 4.11 2.03 -0.75 9.15 -5.87 9.61 10.06 +40.60%
2006 4.05 -1.08 4.51 2.05 -9.63 -2.10 -0.75 2.23 2.97 4.18 0.98 4.40 +11.43%
2007 -1.84 2.58 1.81 0.58 4.66 7.49 4.95 -2.87 7.14 4.72 -10.48 -0.60 +18.08%
2008 -11.82 2.84 -10.18 7.80 -0.23 -10.91 -4.10 -3.22 -12.06 -21.73 -4.70 0.88 -52.07%
2009 4.97 -5.94 2.84 18.83 13.31 2.50 15.11 -0.59 3.99 -1.19 0.11 9.62 +80.83%
2010 0.13 3.04 9.89 4.80 -3.64 6.95 1.04 3.98 4.81 3.32 4.32 1.18 +47.06%
2011 -6.05 -1.55 3.34 1.26 0.00 -1.63 6.89 -9.21 -9.77 6.25 -0.09 3.36 -8.54%
2012 5.90 2.02 1.85 2.17 -3.88 2.05 7.44 -3.23 2.42 -0.67 1.40 1.35 +19.86%
2013 0.95 9.50 4.53 1.16 1.00 -9.28 -3.97 -10.77 2.87 4.80 -5.96 -3.26 -10.01%
2014 -1.10 3.39 2.53 2.56 2.40 0.07 6.93 2.56 1.86 -0.60 1.24 -0.16 +23.64%
2015 9.09 2.49 3.78 -4.41 -0.63 -5.36 -1.33 -9.92 -5.76 10.97 2.98 -1.49 -1.64%
2016 -3.26 2.01 2.82 -1.01 -0.63 5.18 3.40 3.41 -2.27 1.58 -4.47 1.80 +8.37%
2017 0.25 2.52 2.05 0.46 -0.63 -0.47 -0.96 -0.55 1.79 5.59 0.21 3.72 +14.67%
2018 3.31 1.58 -4.95 0.81 -0.47 -6.91 1.45 -0.19 0.76 -5.36 3.72 -1.83 -8.41%
2019 6.87 0.17 2.79 2.78 -4.14 5.54 2.33 -2.39 0.40 1.48 -0.15 0.60 +16.97%
2020 -1.69 -9.04 -22.38 15.66 5.58 5.29 1.49 3.91 -4.05 4.57 7.15 1.93 +3.13%
2021 6.12 2.47 0.75 0.99 -1.12 2.27 -1.20 7.49 -0.18 4.12 -1.43 0.17 +21.95%
2022 -5.89 0.42 2.93 0.76 -3.72 -7.40 3.95 4.11 -4.01 -1.24 4.83 -3.76 -9.54%
2023 4.18 -3.82 0.96 -1.04 -1.32 -1.77 3.35 -2.72 -0.54 -6.09 0.06 4.08 -5.11%
2024 -0.61 3.55 2.41 -1.15 -1.10 - - - - - - - -
Meses individuales: Dividendos no considerados

Valores estimados

  Año hasta la fecha 6 Meses Promedio móvil 3 Años 5 Años
Volatilidad 10.41% 9.89% 9.58% 11.48% 15.65%
Índice de Sharpe 0.53 0.67 -0.58 -0.39 -0.06
El mes mejor +4.08% +4.08% +4.08% +7.49% +15.66%
El mes peor -1.15% -1.15% -6.09% -7.40% -22.38%
Pérdida máxima -4.27% -4.27% -10.44% -22.41% -39.16%
Rendimiento superior +10.25% - +15.83% +20.68% +19.99%
 
Todas las cotizaciones en EUR

Tramos

Nombre   Tipo de beneficio Prec. de rescate Promedio móvil 3 Años
Barings ASEAN Frontiers Fund A C... reinvestment 1,732.5100 -5.66% -13.27%
Barings ASEAN Frontiers Fund A E... reinvestment 114.5800 -0.51% -0.74%
Barings ASEAN Frontiers Fund A A... reinvestment 248.3300 -4.70% -15.59%
Barings ASEAN Frontiers Fund I E... reinvestment 250.1700 +0.21% +1.38%
Barings ASEAN Frontiers Fund I U... reinvestment 277.7500 -2.43% -9.32%
Barings ASEAN Frontiers Fund A G... paying dividend 182.1800 -4.68% -3.66%
Barings ASEAN Frontiers Fund A U... reinvestment 250.2400 -3.11% -11.21%
Barings ASEAN Frontiers Fund A E... paying dividend 212.8400 -1.69% -1.93%
Barings ASEAN Frontiers Fund A U... paying dividend 228.6200 -4.28% -12.28%

Performance

Año hasta la fecha  
+3.04%
6 Meses  
+5.04%
Promedio móvil
  -1.69%
3 Años
  -1.93%
5 Años  
+15.37%
Desde el principio  
+278.92%
Año
2023
  -5.11%
2022
  -9.54%
2021  
+21.95%
2020  
+3.13%
2019  
+16.97%
2018
  -8.41%
2017  
+14.67%
2016  
+8.37%
2015
  -1.64%
 

Dividendos

02/05/2023 1.99 EUR
03/05/2022 1.48 EUR
04/05/2021 1.25 EUR
01/05/2020 2.01 EUR
01/05/2019 0.15 EUR
01/05/2018 0.92 EUR
02/05/2017 0.10 EUR
03/05/2016 0.26 EUR
01/05/2015 0.88 EUR
01/05/2014 1.39 EUR
07/05/2013 0.91 EUR
02/05/2012 0.82 EUR
03/05/2011 0.58 EUR
04/05/2010 0.00 EUR
01/05/2009 0.92 EUR
02/05/2008 0.50 EUR
01/05/2007 0.02 EUR
03/05/2005 0.10 EUR