Capital Group Global Equity Fund (LUX) Bd EUR/  LU0193727319  /

Fonds
NAV05/06/2024 Diferencia+0.4300 Tipo de beneficio Enfoque de la inversión Sociedad de fondos
37.6400EUR +1.16% paying dividend Equity Worldwide Capital Int. M. Co. 
  • Dividendos ajustados Dividendos ajustados

Rendimiento mensual

  ene. feb. mar. abr. may. jun. jul. ago. sep. oct. nov. dic. Total
1970 0.00 0.00 0.00 0.00 0.00 0.00 2.86 0.00 0.00 0.00 0.00 0.00 -
1971 5.56 0.00 5.26 2.50 -2.44 2.50 -2.44 -2.50 -2.56 -2.63 -2.70 8.33 -
1972 5.13 4.88 0.00 2.33 4.55 4.35 0.00 4.17 -2.00 2.04 4.00 0.00 -
1973 -3.85 -2.00 -2.04 0.00 -2.08 0.00 4.26 -6.12 6.52 0.00 -6.12 0.00 -
1974 0.00 2.17 -6.38 -2.27 -4.65 -2.44 2.50 -4.88 -7.69 5.56 2.63 -2.56 -
1975 10.53 7.14 4.44 4.26 4.08 9.80 -3.57 -1.85 1.89 1.85 3.64 1.75 -
1976 5.17 0.00 6.56 3.08 2.99 2.90 -1.41 0.00 8.57 2.63 -2.56 2.63 -
1977 -2.56 -3.95 1.37 1.35 0.00 4.00 -1.28 -2.60 1.33 -6.58 5.63 -5.33 -
1978 -5.63 2.99 7.25 5.41 1.28 1.27 2.50 3.66 -3.53 -7.32 2.63 -3.85 -
1979 5.33 -3.80 1.32 -1.30 -1.32 0.00 2.67 5.19 -1.23 -3.75 1.30 3.85 -
1980 4.94 1.18 -3.49 -3.61 3.75 2.41 3.53 3.41 7.69 7.14 1.90 0.00 -
1981 5.61 6.19 0.00 8.33 4.62 5.15 2.10 0.00 -12.33 1.56 3.08 1.49 -
1982 0.00 -2.94 -2.27 3.88 -2.24 2.29 -2.24 5.34 1.45 7.86 3.31 1.28 -
1983 5.06 3.61 4.07 5.59 1.06 4.71 2.50 -0.49 0.98 0.00 3.40 4.23 -
1984 4.05 -10.39 3.38 1.87 -7.34 2.48 -1.45 10.78 4.42 0.42 0.84 4.60 -
1985 6.00 6.79 -5.65 1.50 2.58 0.36 -6.09 0.38 -1.52 4.25 2.59 4.69 -
1986 0.69 -0.34 10.65 1.24 3.07 -2.38 -6.10 7.79 -4.82 2.85 -1.54 0.63 -
1987 0.62 5.25 2.35 -1.15 5.22 4.68 8.42 0.49 0.48 -26.68 -7.21 1.77 -
1988 4.86 4.64 0.00 2.53 2.16 8.76 2.78 -2.70 2.22 -2.72 -1.96 3.99 -
1989 9.59 -1.00 3.03 2.45 5.98 -1.35 0.92 7.03 -2.75 -6.75 0.93 -0.46 -
1990 -5.81 -1.73 -1.26 -3.56 9.50 0.24 -4.09 -9.27 -9.39 2.13 -0.30 0.60 -
1991 0.30 11.57 8.78 1.71 1.44 -0.71 0.48 1.19 -2.11 2.40 -6.79 0.50 -
1992 4.75 2.15 -3.74 1.70 1.19 -7.55 -4.08 -2.13 1.36 4.56 5.90 4.84 -
1993 0.00 5.31 2.85 0.64 4.45 2.84 6.90 2.03 -2.35 7.78 -2.23 6.85 -
1994 3.29 -1.59 -3.40 -1.34 0.51 -4.22 2.82 1.89 -4.71 -1.94 -1.26 -0.18 -
1995 -4.20 0.76 -1.89 3.09 3.37 -0.91 4.57 5.24 0.66 -3.30 7.34 0.16 -
1996 3.65 1.68 0.45 5.10 -2.14 -1.02 -6.92 2.53 4.48 -0.74 6.55 -0.28 -
1997 7.56 4.95 -1.49 0.88 9.36 5.59 10.49 -5.58 2.49 -9.71 1.46 2.87 +30.53%
1998 5.04 5.82 5.70 -1.46 -2.32 0.09 -2.09 -16.46 -3.24 9.46 7.88 1.52 +7.40%
1999 9.49 1.55 6.20 8.71 -1.48 7.66 -2.49 0.60 -1.35 3.79 9.57 8.40 +62.44%
2000 -1.72 3.50 5.62 4.12 -4.84 -2.14 -0.12 9.81 -6.14 1.03 -7.49 -3.25 -3.01%
2001 5.83 -6.77 -0.90 9.79 2.89 -3.50 -4.82 -7.13 -12.99 7.19 8.66 1.73 -2.85%
2002 0.39 -2.08 6.18 -6.82 -3.49 -13.07 -10.00 -1.69 -13.11 10.09 9.55 -12.86 -34.07%
2003 -5.35 -2.62 -2.90 7.96 1.64 3.73 5.93 6.88 -6.44 7.71 -0.85 0.77 +16.14%
2004 3.75 1.56 -0.32 -0.97 -0.90 2.07 -3.08 -1.42 -0.34 -0.09 0.17 0.94 +1.19%
2005 0.84 1.75 -0.99 -2.82 7.42 1.99 4.21 -0.37 3.53 -1.45 5.22 2.80 +23.93%
2006 2.58 0.60 -0.13 -0.73 -5.71 0.14 0.14 3.37 2.18 2.00 -1.83 2.06 +4.42%
2007 1.96 -1.86 0.00 1.05 3.68 -0.62 -2.32 -1.48 -0.20 -0.46 -5.97 -2.23 -8.43%
2008 -9.95 -0.79 -7.29 6.83 1.13 -11.36 -2.08 4.15 -10.89 -10.03 -5.63 -5.38 -42.09%
2009 0.24 -7.60 1.48 11.82 1.19 0.70 6.76 2.62 1.49 -0.84 0.32 7.06 +26.83%
2010 -0.30 1.39 7.14 1.73 -2.87 -2.22 0.09 -0.85 3.04 0.28 4.79 3.78 +16.70%
2011 -1.87 3.37 -3.60 -1.91 0.71 -2.90 -0.72 -6.92 -3.33 7.49 0.94 3.17 -6.19%
2012 4.47 3.03 -0.08 0.17 -3.45 1.48 6.18 -0.48 0.97 -0.96 2.68 -0.79 +13.62%
2013 3.73 3.40 3.96 -1.01 4.14 -4.39 4.30 -1.89 2.64 3.54 1.48 0.33 +21.69%
2014 -1.83 3.23 -1.37 -0.93 3.87 1.54 1.33 3.25 2.24 1.12 2.22 0.63 +16.21%
2015 5.58 6.29 2.63 0.05 2.71 -4.88 1.23 -7.40 -4.38 9.97 3.59 -4.78 +9.46%
2016 -7.92 -0.29 1.73 1.41 2.73 -2.17 4.55 0.48 0.11 0.26 4.47 1.01 +5.91%
2017 1.51 4.28 0.94 -0.05 -0.05 -1.40 0.14 -0.76 1.34 3.95 -0.36 -0.14 +9.64%
2018 3.28 -1.72 -2.69 2.53 3.64 -0.09 2.47 0.04 0.00 -6.52 1.04 -6.72 -5.28%
2019 7.98 3.87 3.47 2.86 -5.39 4.55 2.48 -0.83 2.08 0.47 3.67 1.39 +29.37%
2020 0.12 -7.09 -10.87 9.77 3.31 1.19 -0.78 3.15 -0.31 -2.91 9.42 1.73 +4.91%
2021 -0.89 3.29 4.57 2.05 0.97 2.54 0.53 1.46 -1.75 4.53 -1.97 4.91 +21.86%
2022 -4.13 -2.09 1.95 -2.55 -1.37 -5.50 9.13 -3.28 -6.40 5.92 3.58 -5.77 -11.22%
2023 4.76 -0.13 1.07 0.09 1.11 2.21 0.96 -1.04 -2.40 -2.03 5.52 2.82 +13.38%
2024 2.09 3.29 2.83 -2.09 1.83 0.94 - - - - - - -
Meses individuales: Dividendos no considerados

Valores estimados

  Año hasta la fecha 6 Meses Promedio móvil 3 Años 5 Años
Volatilidad 7.74% 7.52% 8.52% 12.27% 15.30%
Índice de Sharpe 2.46 2.73 1.18 0.23 0.39
El mes mejor +3.29% +3.29% +5.52% +9.13% +9.77%
El mes peor -2.09% -2.09% -2.40% -6.40% -10.87%
Pérdida máxima -3.37% -3.37% -6.83% -17.09% -29.84%
Rendimiento superior -4.90% - -5.24% +10.40% +23.32%
 
Todas las cotizaciones en EUR

Tramos

Nombre   Tipo de beneficio Prec. de rescate Promedio móvil 3 Años
Capital Group Global Equity Fund... reinvestment 43.3900 +15.52% +7.91%
Capital Group Global Equity Fund... reinvestment 38.7600 +13.90% +7.43%
Capital Group Global Equity Fund... reinvestment 33.9200 +12.28% +19.65%
Capital Group Global Equity Fund... reinvestment 55.7300 +15.67% +12.47%
Capital Group Global Equity Fund... reinvestment 57.3700 +15.57% +26.67%
Capital Group Global Equity Fund... reinvestment 48.7700 +14.00% +25.24%
Capital Group Global Equity Fund... reinvestment 9,738.0000 +31.20% +61.39%
Capital Group Global Equity Fund... reinvestment 62.3900 +17.30% +12.96%
Capital Group Global Equity Fund... paying dividend 37.6400 +13.81% +21.00%
Capital Group Global Equity Fund... paying dividend 32.0000 +12.29% +19.65%
Capital Group Global Equity Fund... paying dividend 40.9300 +15.50% +7.91%
Capital Group Global Equity Fund... reinvestment 44.9800 +14.77% +9.89%
Capital Group Global Equity Fund... reinvestment 46.3100 +14.69% +23.79%
Capital Group Global Equity Fund... reinvestment 39.3600 +13.10% +22.35%
Capital Group Global Equity Fund... reinvestment 50.3500 +16.39% +10.37%
Capital Group Glo.Eq.(LUX)A4 EUR reinvestment 48.5100 +15.03% +24.93%
Capital Group Glo.Eq.(LUX)Zd EUR paying dividend 39.2100 +14.68% +23.73%
Capital Group Glo.Eq.(LUX)Zd USD paying dividend 42.6400 +16.39% +10.39%
Capital Group Glo.Eq.(LUX)A7 USD reinvestment 52.8400 +16.88% -
Capital Group Global Equity Fund... paying dividend 54.0700 +15.56% +26.70%
Capital Group Global Equity Fund... reinvestment 52.5200 +16.58% -
Capital Group Global Equity Fund... reinvestment 52.5500 +16.65% +11.10%
Capital Group Global Equity Fund... reinvestment 48.3300 +14.93% +24.59%
Capital Group Global Equity Fund... paying dividend 50.5900 +16.63% +11.08%
Capital Group Global Equity Fund... paying dividend 46.5300 +14.91% +24.56%
Capital Group Global Equity Fund... reinvestment 41.3000 +13.59% -
Capital Group Global Equity Fund... paying dividend 6,312.0000 +12.65% -
Capital Group Global Equity Fund... reinvestment 47.1200 +15.12% +10.90%
Capital Group Global Equity Fund... reinvestment 41.2400 +13.48% +23.51%
Capital Group Global Equity Fund... paying dividend 38.0900 +14.79% +9.88%
Capital Group Global Equity Fund... paying dividend 33.3300 +13.10% +22.36%
Capital Group Global Equity Fund... reinvestment 7,860.0000 +30.20% +57.67%
Capital Group Global Equity Fund... paying dividend 45.1900 +14.99% +10.56%
Capital Group Global Equity Fund... reinvestment 46.9400 +15.02% +10.60%
Capital Group Global Equity Fund... paying dividend 39.5500 +13.35% +23.14%
Capital Group Global Equity Fund... reinvestment 41.0800 +13.36% +23.18%
Capital Group Global Equity Fund... reinvestment 39.9000 +13.80% +21.02%

Performance

Año hasta la fecha  
+9.13%
6 Meses  
+11.45%
Promedio móvil  
+13.81%
3 Años  
+21.00%
5 Años  
+59.12%
10 Años  
+145.41%
Desde el principio  
+11255.63%
Año
2023  
+13.38%
2022
  -11.22%
2021  
+21.86%
2020  
+4.91%
2019  
+29.37%
2018
  -5.28%
2017  
+9.64%
2016  
+5.91%
2015  
+9.46%
 

Dividendos

02/01/2024 0.10 EUR
03/01/2023 0.03 EUR
02/01/2020 0.01 EUR
02/01/2019 0.01 EUR
03/01/2017 0.01 EUR
02/01/2015 0.28 EUR
02/01/2014 0.05 EUR
02/01/2013 0.08 EUR
02/01/2012 0.01 EUR
03/01/2011 0.02 EUR
04/01/2010 0.04 EUR
02/01/2009 0.08 EUR
02/01/2008 0.04 EUR
03/01/2007 0.06 EUR