FIRST EAGLE AMUNDI INTERNATIONAL FUND - AHS-MD
LU1489326972
FIRST EAGLE AMUNDI INTERNATIONAL FUND - AHS-MD/ LU1489326972 /
Стоимость чистых активов 17.05.2024
Изменение+0.4500
Тип доходности
Инвестиционная направленность
Инвестиционная компания
108.2600 SGD
+0.42%
paying dividend
Mixed Fund
Worldwide
Amundi Luxembourg ▶
Calculated values and performance in:
Все котировки в SGD
Транши
Название
Тип доходности
Цена выкупа
1 год
3 года
FIRST EAGLE AMUNDI INTERNATIONAL...
reinvestment
1,565.4000
+10.86%
+4.17%
FIRST EAGLE AMUNDI INTERNATIONAL...
reinvestment
158.5700
+11.09%
+1.10%
FIRST EAGLE AMUNDI INTERNATIONAL...
reinvestment
216.6700
+12.77%
+20.66%
FIRST EAGLE AMUNDI INTERNATIONAL...
reinvestment
227.3000
+14.62%
+12.69%
First Eagle Amundi Intern.Fd.IHG...
reinvestment
1,883.1500
+14.88%
+11.04%
First Eagle Amundi Intern.Fd.AHC...
reinvestment
1,515.3600
+9.65%
+0.88%
First Eagle Amundi Intern.Fd.RE ...
reinvestment
224.5200
+14.69%
+26.82%
First Eagle Amundi Intern.Fd.IU2...
reinvestment
1,465.8500
+15.73%
+15.45%
First Eagle Amundi Intern.Fd.RE ...
paying dividend
119.9500
+14.69%
+26.83%
First Eagle Amundi Intern.Fd.RHE...
reinvestment
143.6400
+12.99%
+6.31%
First Eagle Amundi Intern.Fd.RHE...
paying dividend
100.0800
+12.94%
+6.22%
First Eagle Amundi Intern.Fd.RU ...
reinvestment
184.3300
+15.28%
+13.57%
First Eagle Amundi Intern.Fd.RU ...
paying dividend
111.3800
+15.05%
+13.36%
First Eagle Amundi Intern.Fd.AHS...
reinvestment
156.6300
+12.38%
+8.28%
First Eagle Amundi Intern.Fd.XHG...
reinvestment
1,701.5601
+14.34%
+9.10%
FIRST EAGLE AMUNDI INTERNATIONAL...
paying dividend
108.2600
+12.36%
+8.32%
FIRST EAGLE AMUNDI INTERNATIONAL...
paying dividend
118.0200
+14.04%
-
FIRST EAGLE AMUNDI INTERNATIONAL...
reinvestment
189.9700
+12.56%
+25.48%
FIRST EAGLE AMUNDI INTERNATIONAL...
paying dividend
136.3300
+12.56%
+25.47%
FIRST EAGLE AMUNDI INTERNATIONAL...
paying dividend
103.5800
+13.35%
+8.05%
FIRST EAGLE AMUNDI INTERNATIONAL...
reinvestment
132.5300
+13.38%
+7.49%
FIRST EAGLE AMUNDI INTERNATIONAL...
reinvestment
131.8700
+10.43%
+2.96%
FIRST EAGLE AMUNDI INTERNATIONAL...
paying dividend
101.8400
+13.18%
-
FIRST EAGLE AMUNDI INTERNATIONAL...
paying dividend
1,417.5900
+16.88%
+8.86%
FIRST EAGLE AMUNDI INTERNATIONAL...
paying dividend
108.4600
+12.37%
+8.49%
FIRST EAGLE AMUNDI INTERNATIONAL...
reinvestment
2,086.3201
+13.42%
+7.49%
FIRST EAGLE AMUNDI INTERNATIONAL...
reinvestment
2,758.4099
+15.73%
+14.88%
First Eagle Amundi Intern.Fd.IE ...
reinvestment
2,818.5200
+15.14%
+28.28%
FIRST EAGLE AMUNDI INTERNATIONAL...
reinvestment
311.7700
+13.35%
+8.05%
FIRST EAGLE AMUNDI INTERNATIONAL...
paying dividend
90.7800
+12.20%
+4.11%
FIRST EAGLE AMUNDI INTERNATIONAL...
paying dividend
103.4400
+13.70%
+7.70%
First Eagle Amundi Intern.Fd.AU2...
reinvestment
172.5500
+14.48%
+11.91%
FIRST EAGLE AMUNDI INTERNATIONAL...
reinvestment
3,530.1399
+15.07%
+15.21%
FIRST EAGLE AMUNDI INTERNATIONAL...
reinvestment
9,531.2500
+14.48%
+11.27%
FIRST EAGLE AMUNDI INTERNATIONAL...
reinvestment
198.6500
+12.21%
+4.12%
FIRST EAGLE AMUNDI INTERNATIONAL...
paying dividend
145.4900
+13.90%
+24.25%
FIRST EAGLE AMUNDI INTERNATIONAL...
reinvestment
244.1200
+13.90%
+24.25%
FIRST EAGLE AMUNDI INTERNATIONAL...
reinvestment
179.9500
+13.70%
+7.65%
Результат
C начала года на сегодняшний день
+8.07%
6 месяцев
+12.71%
1 год
+12.36%
3 года
+8.32%
5 лет
+36.22%
10 лет
-
С самого начала
+46.00%
Год
2023
+10.30%
2022
-9.25%
2021
+10.41%
2020
+4.97%
2019
+17.75%
2018
-10.77%
2017
+10.10%
Дивиденды
30.04.2024
0.35 SGD
28.03.2024
0.35 SGD
29.02.2024
0.34 SGD
31.01.2024
0.34 SGD
29.12.2023
0.34 SGD
30.11.2023
0.33 SGD
31.10.2023
0.31 SGD
29.09.2023
0.32 SGD
31.08.2023
0.34 SGD
31.07.2023
0.35 SGD
30.06.2023
0.34 SGD
31.05.2023
0.33 SGD
28.04.2023
0.34 SGD
31.03.2023
0.33 SGD
28.02.2023
0.33 SGD
31.01.2023
0.34 SGD
30.12.2022
0.32 SGD
30.11.2022
0.33 SGD
31.10.2022
0.30 SGD
30.09.2022
0.29 SGD
31.08.2022
0.31 SGD
29.07.2022
0.33 SGD
30.06.2022
0.32 SGD
31.05.2022
0.34 SGD
29.04.2022
0.34 SGD
31.03.2022
0.36 SGD
28.02.2022
0.36 SGD
31.01.2022
0.36 SGD
31.12.2021
0.37 SGD
30.11.2021
0.36 SGD
29.10.2021
0.37 SGD
30.09.2021
0.36 SGD
31.08.2021
0.37 SGD
30.07.2021
0.37 SGD
30.06.2021
0.37 SGD
31.05.2021
0.38 SGD
30.04.2021
0.37 SGD
31.03.2021
0.36 SGD
26.02.2021
0.35 SGD
29.01.2021
0.34 SGD
31.12.2020
0.35 SGD
30.11.2020
0.33 SGD
30.10.2020
0.31 SGD
30.09.2020
0.32 SGD
31.08.2020
0.33 SGD
31.07.2020
0.32 SGD
30.06.2020
0.30 SGD
29.05.2020
0.30 SGD
30.04.2020
0.29 SGD
31.03.2020
0.27 SGD
28.02.2020
0.31 SGD
31.01.2020
0.33 SGD
31.12.2019
0.34 SGD
29.11.2019
0.33 SGD
31.10.2019
0.33 SGD
30.09.2019
0.33 SGD
30.08.2019
0.33 SGD
31.07.2019
0.33 SGD
28.06.2019
0.33 SGD
31.05.2019
0.32 SGD
30.04.2019
0.33 SGD
29.03.2019
0.33 SGD
28.02.2019
0.33 SGD
31.01.2019
0.32 SGD
31.12.2018
0.30 SGD
30.11.2018
0.32 SGD
31.10.2018
0.32 SGD
28.09.2018
0.34 SGD
31.08.2018
0.34 SGD
31.07.2018
0.34 SGD
29.06.2018
0.34 SGD
31.05.2018
0.34 SGD
30.04.2018
0.35 SGD
29.03.2018
0.34 SGD
28.02.2018
0.35 SGD
31.01.2018
0.36 SGD
29.12.2017
0.35 SGD
30.11.2017
0.35 SGD
31.10.2017
0.35 SGD
29.09.2017
0.35 SGD
31.08.2017
0.35 SGD
31.07.2017
0.35 SGD
30.06.2017
0.34 SGD
31.05.2017
0.35 SGD
28.04.2017
0.34 SGD
31.03.2017
0.34 SGD
28.02.2017
0.34 SGD
31.01.2017
0.34 SGD
30.12.2016
0.33 SGD
30.11.2016
0.33 SGD