NAV26/04/2024 Chg.+3.5900 Type de rendement Focus sur l'investissement Société de fonds
163.0400EUR +2.25% reinvestment Equity Mixed Sectors DWS Investment SA 
 

Performance mensuelle

  janv. févr. mars avr. mai juin juil. août sept. oct. nov. déc. Total
2007 2.08 0.37 0.55 4.30 11.16 9.58 5.09 7.82 10.24 9.81 -10.85 -1.62 +57.45%
2008 -21.29 5.53 -14.47 13.87 -1.49 -13.72 0.66 0.16 -15.58 -12.22 3.84 -2.23 -47.85%
2009 3.75 -0.24 7.91 12.65 7.33 5.49 8.97 -8.74 2.62 1.95 5.69 6.50 +66.82%
2010 -7.30 4.33 5.95 1.76 0.32 1.55 -2.39 0.48 2.08 1.77 4.32 -3.63 +8.82%
2011 -4.20 -3.89 1.71 -0.95 3.59 -4.49 -0.18 -8.06 -11.23 7.63 -4.68 4.58 -19.78%
2012 8.07 4.12 -6.66 4.69 -4.13 -1.44 3.94 -6.29 4.58 3.85 0.23 2.17 +12.54%
2013 2.34 -0.12 -1.63 -1.51 1.87 -9.19 2.80 2.18 2.69 2.99 5.50 -2.55 +4.62%
2014 -1.89 1.89 -3.48 -7.06 5.87 2.34 8.41 1.59 -0.96 5.21 1.58 0.85 +14.25%
2015 8.19 1.40 6.33 16.05 0.03 -7.20 -13.23 -13.17 -0.82 8.94 1.70 -3.89 -0.02%
2016 -12.23 -3.29 6.65 -1.40 1.25 1.18 3.19 7.02 1.40 0.85 1.43 -3.01 +1.59%
2017 4.25 4.50 1.67 -0.23 0.96 -0.33 5.85 1.06 0.48 4.12 -0.34 1.18 +25.48%
2018 8.74 -3.99 -3.47 3.27 6.03 -4.62 -1.98 -4.05 -0.71 -9.12 5.78 -6.65 -11.81%
2019 10.43 3.64 3.17 2.02 -11.40 5.05 0.46 -3.26 1.07 1.69 2.51 5.97 +21.66%
2020 -4.92 1.09 -4.72 7.35 -3.89 9.92 2.64 3.52 -1.05 4.29 2.45 2.28 +19.33%
2021 9.18 -1.33 -3.56 -1.20 -0.99 3.83 -12.42 -0.48 -1.32 2.05 -2.24 -4.84 -13.82%
2022 -0.67 -2.37 -8.88 0.01 -0.94 9.11 -6.85 1.29 -9.85 -17.28 18.21 1.53 -19.33%
2023 8.80 -9.37 -0.31 -5.79 -7.29 1.36 7.91 -6.96 -1.42 -5.24 -1.42 -3.49 -22.36%
2024 -7.82 7.55 1.63 7.50 - - - - - - - - -

Valeurs calculées

  CAD 6 Mois 1 An 3 Ans 5 Ans
Volatilité 21.12% 20.80% 20.82% 24.89% 24.13%
Ratio de Sharpe 1.18 0.05 -0.57 -0.85 -0.44
Le meilleur mois +7.55% +7.55% +7.91% +18.21% +18.21%
Le plus défavorable mois -7.82% -7.82% -7.82% -17.28% -17.28%
Perte maximale -8.80% -15.96% -24.73% -53.45% -60.46%
Surperformance -4.52% - -2.66% -1.72% -24.97%
 
Toutes les cotations dans EUR

Tranches

Nom   Type de rendement Prix de rachat 1 An 3 Ans
DWS Invest Chinese Eq.FC reinvestment 209.7900 -6.50% -40.97%
DWS Invest Chinese Eq.USD FC reinvestment 172.0300 -9.83% -47.54%
DWS Invest Chinese Eq.NC reinvestment 163.0400 -7.95% -43.28%
DWS Invest Chinese Eq.GBP D RD paying dividend 121.0900 -9.87% -41.71%
DWS Invest Chinese Eq.USD TFC reinvestment 82.7100 -6.51% -40.92%
DWS Invest Chinese Eq.USD TFC reinvestment 76.2200 -9.78% -47.47%
DWS Invest Chinese Eq.USD LC reinvestment 150.2300 -10.63% -48.90%
DWS Invest Chinese Eq.LC reinvestment 183.0100 -7.30% -42.08%

Performance

CAD  
+8.31%
6 Mois  
+2.42%
1 An
  -7.95%
3 Ans
  -43.28%
5 Ans
  -29.50%
Depuis le début  
+63.04%
Année
2023
  -22.36%
2022
  -19.33%
2021
  -13.82%
2020  
+19.33%
2019  
+21.66%
2018
  -11.81%
2017  
+25.48%
2016  
+1.59%
2015
  -0.02%