NAV2024-05-31 Chg.+0.0500 Type of yield Investment Focus Investment company
19.0300USD +0.26% paying dividend Bonds Worldwide BlackRock (LU) 
  • Dividends adjusted Dividends adjusted

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2021 - -1.97 -2.97 2.21 0.73 -2.41 1.55 -0.84 -3.18 -0.75 -0.95 -1.14 -9.81%
2022 -2.57 -2.32 -3.18 -8.08 0.18 -5.43 1.43 -6.18 -6.13 1.57 7.76 -0.29 -21.76%
2023 3.91 -4.30 4.62 1.03 -2.49 1.87 1.38 -1.36 -4.55 0.73 5.68 5.07 +11.48%
2024 -2.27 -1.28 0.79 -2.14 1.45 - - - - - - - -
Single months: Dividends not considered

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 7.50% 8.17% 8.65% 9.78% -%
Sharpe ratio -1.60 -0.11 0.14 -1.21 -
Best month +5.07% +5.68% +5.68% +7.76% -
Worst month -2.27% -2.27% -4.55% -8.08% -
Maximum loss -4.19% -6.23% -9.37% -35.88% -
Outperformance - - - - -
 
All quotes in USD

Tranches

Name   Type of yield Repurchase p. 1 Year 3 Years
BGF Euro Bond Fund A4 GBP paying dividend 20.2200 +1.52% -14.39%
BGF Euro Bond F.D3 EUR paying dividend 17.5100 +3.13% -12.56%
BGF Euro Bond F.D2 CHF H reinvestment 10.3400 +0.68% -15.94%
BGF Euro Bond F.D4 GBP paying dividend 20.3900 +1.87% -13.50%
BGF Euro Bond F.I4 EUR paying dividend 9.0700 +3.36% -12.11%
BGF Euro Bond F.A2 JPY H reinvestment 871.0000 -1.47% -18.45%
BGF Euro Bond F.A2 CZK reinvestment 652.2800 +6.96% -15.93%
BGF Euro Bond F.A2 PLN H reinvestment 108.5000 +5.09% -4.00%
BGF Euro Bond F.AI2 EUR reinvestment 8.9900 +2.74% -13.56%
BGF Euro Bond F.D4 GBP H paying dividend 10.0200 +4.51% -9.65%
BGF Euro Bond F.I2 JPY H reinvestment 901.0000 -0.88% -17.19%
BGF Euro Bond F.I4 GBP H paying dividend 10.0400 +4.56% -9.26%
BGF Euro Bond F.D3 USD paying dividend 19.0300 +4.99% -22.14%
BGF Euro Bond Fund I2 EUR reinvestment 13.5400 +3.36% -12.08%
BGF Euro Bond Fund D2 EUR reinvestment 28.0200 +3.13% -12.55%
BGF Euro Bond Fund D4 EUR paying dividend 10.5300 +3.14% -12.55%
BGF Euro Bond F.I2 CHF H reinvestment 9.2500 +0.87% -15.76%
BGF Euro Bond F.I2 USD H reinvestment 11.5300 +5.30% -7.17%
BGF Euro Bond F.I4 USD H paying dividend 10.2200 +5.35% -7.07%
BGF Euro Bond F.S4 EUR paying dividend 9.1000 +3.29% -12.25%
BGF Euro Bond F.X2 EUR reinvestment 30.8100 +3.74% -11.06%
BGF Euro Bond F.D2 USD reinvestment 30.4600 +5.00% -22.10%
BGF Euro Bond F.D2 USD H reinvestment 13.4900 +5.06% -7.60%
BGF Euro Bond Fund S2 EUR reinvestment 10.3500 +3.50% -
BGF Euro Bond Fund A1 USD paying dividend 18.9400 +4.62% -22.91%
BGF Euro Bond Fund A1 EUR paying dividend 17.4300 +2.76% -13.43%
BGF Euro Bond Fund A3 EUR paying dividend 17.4200 +2.77% -13.49%
BGF Euro Bond Fund A3 USD paying dividend 18.9400 +4.64% -22.92%
BGF Euro Bond Fund E2 EUR reinvestment 23.2400 +2.29% -14.78%
BGF Euro Bond Fund E2 USD reinvestment 25.2600 +4.12% -24.08%
BGF Euro Bond F.E5 EUR paying dividend 21.6900 +2.26% -14.74%
BGF Euro Bond Fund A2 USD reinvestment 28.6700 +4.64% -22.93%
BGF Euro Bond Fund A4 EUR paying dividend 23.6500 +2.80% -13.47%
BGF Euro Bond Fund A2 USD Hedged reinvestment 12.9500 +4.77% -8.61%
BGF Euro Bond Fund A2 EUR reinvestment 26.3800 +2.81% -13.45%

Performance

YTD
  -3.47%
6 Months  
+1.42%
1 Year  
+4.99%
3 Years
  -22.14%
5 Years     -
10 Years     -
Since start
  -24.07%
Year
2023  
+11.48%
2022
  -21.76%
2021
  -9.81%
 

Dividends

2024-05-31 0.03 USD
2024-04-30 0.04 USD
2024-03-28 0.03 USD
2024-02-29 0.03 USD
2024-01-31 0.04 USD
2023-12-29 0.03 USD
2023-11-30 0.03 USD
2023-10-31 0.03 USD
2023-09-29 0.03 USD
2023-08-31 0.03 USD
2023-07-31 0.03 USD
2023-06-30 0.03 USD
2023-05-31 0.03 USD
2023-04-28 0.02 USD
2023-03-31 0.02 USD
2023-02-28 0.02 USD
2023-01-31 0.02 USD
2022-12-30 0.02 USD
2022-11-30 0.01 USD
2022-10-31 0.01 USD
2022-09-30 0.01 USD
2022-08-31 0.01 USD
2022-07-29 0.01 USD
2022-06-30 0.01 USD
2022-05-31 0.02 USD
2022-04-29 0.00 USD
2022-03-31 0.00 USD
2022-02-28 0.00 USD
2022-01-31 0.00 USD
2021-12-31 0.00 USD
2021-11-30 0.00 USD
2021-10-29 0.00 USD
2021-09-30 0.00 USD
2021-08-31 0.00 USD
2021-07-30 0.00 USD
2021-06-30 0.00 USD
2021-05-31 0.00 USD
2021-04-30 0.00 USD
2021-02-26 0.00 USD
2021-01-29 0.00 USD