NAV17/06/2024 Var.-0.0300 Type of yield Focus sugli investimenti Società d'investimento
40.4500GBP -0.07% paying dividend Equity Latin America BlackRock (LU) 
  • Dividends adjusted Dividends adjusted

Performance mensile

  gen feb mar apr mag giu lug ago set ott nov dic Totale
2005 - 13.77 -8.13 -3.99 13.93 5.90 9.08 2.00 16.68 -4.51 12.19 1.20 +73.14%
2006 13.47 3.31 -0.56 3.15 -16.19 4.21 1.17 0.73 1.22 5.84 3.42 7.64 +27.63%
2007 0.99 -3.61 8.18 3.83 12.26 0.26 1.82 -5.90 13.15 7.65 -4.94 1.03 +37.93%
2008 -9.09 15.86 -7.29 6.39 13.30 -8.82 -6.96 -0.79 -26.21 -22.71 0.66 7.66 -38.77%
2009 2.76 -7.33 11.41 19.09 9.11 -1.70 8.69 5.08 12.63 1.72 7.62 4.55 +99.53%
2010 -7.46 6.52 7.29 0.09 -5.88 -1.91 5.43 -0.05 9.25 3.17 0.30 4.54 +21.72%
2011 -8.20 -0.63 4.09 -3.07 -1.98 3.13 -7.86 -4.37 -13.14 13.76 -4.57 -1.09 -23.55%
2012 10.45 5.55 -5.56 -6.92 -8.80 1.82 3.52 -2.30 0.15 0.35 -1.01 5.44 +0.95%
2013 7.31 1.71 -1.10 -3.67 -2.48 -11.01 0.43 -5.77 3.68 4.63 -5.37 -3.25 -15.19%
2014 -9.86 3.43 6.95 2.12 2.34 1.30 2.56 9.79 -12.23 1.71 -0.02 -9.20 -3.70%
2015 -1.00 0.91 -4.63 4.21 -4.90 -3.08 -6.83 -9.75 -4.02 2.90 1.19 -5.23 -27.12%
2016 -1.70 6.84 14.35 3.21 -8.08 16.40 7.63 3.18 -0.12 15.61 -12.41 0.31 +49.42%
2017 8.61 2.91 0.15 -4.23 -0.60 -1.47 7.18 7.02 -1.92 -2.89 -3.10 3.41 +14.95%
2018 8.17 0.73 -4.43 2.05 -12.10 -3.93 11.76 -9.84 5.83 8.14 -1.37 -0.22 +1.83%
2019 12.23 -5.29 -2.23 0.22 2.00 6.66 4.08 -10.44 1.69 -0.27 -2.76 8.67 +13.19%
2020 -4.31 -12.30 -32.19 6.03 5.93 6.42 3.60 -6.92 -4.32 -2.45 20.36 7.81 -20.54%
2021 -5.54 -3.95 1.12 5.34 1.48 5.98 -4.16 -1.54 -7.95 -8.92 -0.68 4.53 -14.63%
2022 6.46 3.89 15.70 -5.11 2.87 -15.40 5.31 10.20 -0.24 7.98 -6.51 -2.86 +19.98%
2023 6.00 -4.40 -2.18 1.05 7.18 9.55 5.02 -5.70 0.22 -6.54 9.12 8.64 +29.34%
2024 -6.07 -1.35 1.94 -3.31 -5.69 -8.28 - - - - - - -
Mesi singoli: Dividendi non considerati

Calculated values

  YTD 6 mesi 1 anno 3 anni 5 anni
Volatilità 16.72% 16.50% 18.54% 22.46% 27.80%
Indice di Sharpe -2.63 -2.28 -0.90 -0.14 -0.24
Mese migliore +8.64% +8.64% +9.55% +15.70% +20.36%
Mese peggiore -8.28% -8.28% -8.28% -15.40% -32.19%
Perdita massima -21.07% -21.38% -21.38% -23.01% -48.64%
Outperformance +1.12% - +0.59% +3.79% +3.34%
 
Tutte le quotazioni in GBP

Tranches

Nome   Type of yield Prezzo di riacquisto 1 anno 3 anni
BGF Latin American Fund A4 GBP paying dividend 40.4500 -12.98% +1.90%
BGF Latin American Fund Hedged A... reinvestment 8.4100 -15.98% -13.48%
BGF Latin American F.A2 HKD H reinvestment 8.0900 -14.66% -9.81%
BGF Latin American F.D2 CHF H reinvestment 5.3900 -17.20% -14.85%
BGF Latin American F.D2 PLN H reinvestment 8.4100 -13.74% -5.08%
BGF Latin American F.D2 SGD H reinvestment 6.0900 -15.06% -8.83%
BGF Latin American F.D4 EUR paying dividend 48.7800 -11.56% +5.46%
BGF Latin American F.D4 GBP paying dividend 40.5900 -12.33% +4.19%
BGF Latin American F.E2 GBP reinvestment 44.0900 -13.43% +0.36%
BGF Latin American F.D2 GBP H reinvestment 38.7000 -14.06% -9.18%
BGF Latin American F.I2 USD reinvestment 10.9000 -12.94% -4.47%
BGF Latin American F.I2 EUR reinvestment 10.1700 -11.33% +6.27%
BGF Latin American F.X4 GBP paying dividend 40.4900 -11.18% +8.33%
BGF Latin American Fund D2 EUR reinvestment 66.3700 -11.55% +5.45%
BGF Latin American Fund D2 USD reinvestment 71.1400 -13.17% -5.27%
BGF Latin American F.D2 GBP reinvestment 56.1300 -12.32% +4.20%
BGF Latin American F.D2 EUR H reinvestment 44.2100 -15.36% -12.44%
BGF Latin American F.X2 USD reinvestment 83.5900 -12.08% -1.61%
BGF Latin American Fund E2 USD reinvestment 55.8800 -14.26% -8.77%
BGF Latin American Fund E2 EUR reinvestment 52.1400 -12.65% +1.56%
BGF Latin American Fund Hedged P... reinvestment 7.7100 -14.33% -7.11%
BGF Latin American F.A2 CHF H reinvestment 4.9400 -17.94% -16.84%
BGF Latin American F.A2 SGD H reinvestment 5.5800 -15.71% -10.86%
BGF Latin American Fund A2 EUR reinvestment 58.1700 -12.21% +3.10%
BGF Latin American Fund A2 GBP reinvestment 49.1900 -12.98% +1.88%
BGF Latin American Fund A2 USD reinvestment 62.3400 -13.84% -7.40%
BGF Latin American Fund A4 EUR paying dividend 48.5900 -12.22% +3.10%

Prestazione

YTD
  -21.00%
6 mesi
  -18.58%
1 anno
  -12.98%
3 anni  
+1.90%
5 anni
  -14.43%
10 anni  
+9.07%
Dall'inizio  
+242.86%
Anno
2023  
+29.34%
2022  
+19.98%
2021
  -14.63%
2020
  -20.54%
2019  
+13.19%
2018  
+1.83%
2017  
+14.95%
2016  
+49.42%
2015
  -27.12%
 

Dividendi

31/08/2023 1.82 GBP
31/08/2022 2.94 GBP
31/08/2021 0.48 GBP
31/08/2020 0.22 GBP
30/08/2019 0.27 GBP
31/08/2018 0.19 GBP
31/08/2017 0.11 GBP
31/08/2016 0.18 GBP
31/08/2015 0.08 GBP
29/08/2014 0.46 GBP
30/08/2013 0.33 GBP
31/08/2012 0.32 GBP
31/08/2011 0.45 GBP
31/08/2010 0.20 GBP
31/08/2009 0.10 GBP