NAV20/06/2024 Chg.+0.1933 Type de rendement Focus sur l'investissement Société de fonds
319.1067EUR +0.06% reinvestment Equity Mixed Sectors FundPartner Sol.(EU) 
 

Performance mensuelle

  janv. févr. mars avr. mai juin juil. août sept. oct. nov. déc. Total
2007 - - - - - - - - - - - 19.18 -
2008 -15.79 -2.59 -17.83 14.55 -7.89 -18.40 8.52 3.46 -14.23 -26.59 -10.10 8.04 -60.16%
2009 -3.60 -8.82 3.61 25.01 32.92 -2.08 9.27 2.96 7.21 -7.21 4.36 12.01 +93.84%
2010 -1.13 3.06 11.02 3.31 -1.17 4.75 -3.84 3.34 6.88 -0.08 -2.08 4.02 +30.78%
2011 -13.81 -7.52 6.12 -3.22 -1.23 0.06 3.16 -14.05 0.68 3.83 -12.31 -2.18 -35.67%
2012 16.06 3.45 -3.08 -1.15 -5.54 3.38 3.37 -1.80 9.62 -2.70 3.84 -0.53 +25.61%
2013 0.12 -6.09 0.01 0.69 -4.64 -7.41 -7.15 -8.87 8.03 9.55 -2.01 4.18 -14.54%
2014 -2.61 3.08 13.05 -1.43 17.20 4.33 2.78 4.62 4.12 4.66 3.59 -1.88 +62.94%
2015 13.49 0.49 1.29 -9.81 5.44 -0.32 5.35 -12.19 0.68 1.94 2.71 -2.96 +3.61%
2016 -7.52 -10.55 10.72 1.78 4.92 2.46 6.11 1.91 -1.61 3.31 -7.18 0.01 +2.26%
2017 4.73 7.73 5.17 1.20 -1.03 -3.35 4.49 -0.77 -2.37 7.77 -2.67 2.00 +24.38%
2018 -0.93 -5.47 -3.89 6.63 0.11 -2.85 4.06 2.40 -9.95 -4.69 11.13 -0.61 -5.70%
2019 -2.42 -0.54 13.01 -0.60 2.51 -3.41 -4.51 -3.18 7.64 2.74 0.50 -1.58 +9.16%
2020 1.38 -6.78 -29.83 13.66 -3.98 9.68 3.99 4.02 2.22 3.27 10.28 3.92 +3.86%
2021 -0.18 8.72 2.03 -4.55 7.42 2.16 2.41 7.31 4.34 1.00 -3.33 1.18 +31.39%
2022 2.17 -6.01 2.18 1.93 -7.29 -3.96 14.36 4.78 -3.05 0.85 -1.76 -8.76 -6.48%
2023 -4.60 -0.08 -3.59 3.44 8.48 2.32 1.24 1.24 3.70 -2.64 3.32 4.98 +18.43%
2024 4.72 1.74 0.52 4.59 -1.78 5.58 - - - - - - -

Valeurs calculées

  CAD 6 Mois 1 An 3 Ans 5 Ans
Volatilité 17.43% 17.04% 14.11% 16.36% 21.66%
Ratio de Sharpe 1.96 2.11 1.92 0.59 0.39
Le meilleur mois +5.58% +5.58% +5.58% +14.36% +14.36%
Le plus défavorable mois -1.78% -1.78% -2.64% -8.76% -29.83%
Perte maximale -7.07% -7.07% -7.07% -22.93% -43.56%
Surperformance +8.98% - +7.99% +14.72% +11.40%
 
Toutes les cotations dans EUR

Tranches

Nom   Type de rendement Prix de rachat 1 An 3 Ans
DNB Fund - India Retail A (N) NO... reinvestment 255.5520 +26.32% -
DNB Fund - India Retail A SEK reinvestment 3,575.5112 +24.12% -
DNB Fund - India Retail A EUR reinvestment 319.1067 +30.82% +45.85%

Performance

CAD  
+16.16%
6 Mois  
+18.13%
1 An  
+30.82%
3 Ans  
+45.85%
5 Ans  
+76.79%
10 ans  
+189.58%
Depuis le début  
+222.54%
Année
2023  
+18.43%
2022
  -6.48%
2021  
+31.39%
2020  
+3.86%
2019  
+9.16%
2018
  -5.70%
2017  
+24.38%
2016  
+2.26%
2015  
+3.61%