GAM Local Emerging Bd.EUR Ra H/  LU0984443605  /

Fonds
NAV10/06/2024 Chg.-0.3500 Type of yield Investment Focus Investment company
47.2800EUR -0.73% paying dividend Bonds Emerging Markets GAM (LU) 
  • Dividends adjusted Dividends adjusted

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2014 -4.46 3.89 2.82 1.33 2.42 0.57 -0.86 1.08 -4.74 1.47 -0.91 -4.75 -2.62%
2015 -0.01 -1.08 -3.06 2.74 -2.52 -1.31 -3.08 -4.56 -2.84 2.90 -2.32 -2.45 -16.48%
2016 -0.31 0.80 9.59 2.66 -5.16 5.18 0.23 -0.34 1.70 -0.50 -6.56 2.28 +8.95%
2017 2.81 1.57 1.98 0.53 1.46 0.23 1.39 1.44 -0.41 -2.84 1.92 1.39 +11.96%
2018 4.35 -1.38 0.99 -3.47 -5.04 -3.47 2.73 -6.81 2.06 -2.50 1.88 1.04 -9.80%
2019 5.73 -1.41 -2.15 -0.53 -0.44 5.02 0.68 -4.21 1.24 2.29 -2.12 3.66 +7.50%
2020 -1.40 -3.94 -12.08 4.10 6.10 -0.20 3.02 -0.53 -2.81 0.53 6.13 3.93 +1.36%
2021 -1.77 -3.33 -4.30 1.85 2.58 -1.51 -0.62 0.70 -3.78 -1.21 -2.70 1.58 -12.09%
2022 0.16 -2.75 0.04 -6.63 1.69 -4.92 0.62 -0.64 -5.44 -0.81 6.41 1.59 -10.83%
2023 4.81 -4.01 4.37 0.79 -1.89 3.49 2.60 -3.40 -4.20 -1.18 5.68 4.05 +10.85%
2024 -2.01 -1.09 -0.49 -2.95 1.41 -1.64 - - - - - - -
Single months: Dividends not considered

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 7.30% 7.79% 8.59% 8.77% 9.57%
Sharpe ratio -2.50 -1.19 -0.81 -1.05 -0.71
Best month +4.05% +4.05% +5.68% +6.41% +6.41%
Worst month -2.95% -2.95% -4.20% -6.63% -12.08%
Maximum loss -7.06% -7.74% -10.77% -25.45% -28.87%
Outperformance - - - - -
 
All quotes in EUR

Share classes

Name   Type of yield Repurchase p. 1 Year 3 Years
GAM Multibond - Local Emerging B... reinvestment 133.9700 -4.26% -18.35%
GAM Local Emerging Bd.EUR Cm paying dividend 78.8500 -1.18% +2.77%
GAM Multibond - Local Emerging B... reinvestment 183.1800 -3.16% -15.48%
GAM Multibond - Local Emerging B... paying dividend 36.9500 -3.15% -15.46%
GAM Multibond - Local Emerging B... reinvestment 74.0700 -5.40% -18.44%
GAM Multibond - Local Emerging B... reinvestment 107.4300 -1.82% -12.08%
GAM Local Emerging Bd.USD Ca paying dividend 53.3300 -1.16% -9.23%
GAM Local Emerging Bd.EUR C reinvestment 124.8000 -1.16% +2.78%
GAM Multibond - Local Emerging B... reinvestment 85.9900 -2.98% -9.88%
GAM Multibond - Local Emerging B... reinvestment 320.9700 -1.16% -9.24%
GAM Multibond - Local Emerging B... paying dividend 36.3900 -6.01% -20.01%
GAM Multibond - Local Emerging B... paying dividend 47.9200 -2.43% -13.73%
GAM Multibond - Local Emerging B... reinvestment 97.6500 -2.44% -13.73%
GAM Local Emerging Bd.USD R reinvestment 98.2400 -1.17% -9.23%
GAM Local Emerging Bd.USD Ra paying dividend 56.3900 -1.15% -9.22%
GAM Local Emerging Bd.EUR R H reinvestment 78.6500 -3.16% -15.48%
GAM Local Emerging Bd.CHF R H reinvestment 78.0700 -5.40% -18.44%
GAM Local Emerging Bd.EUR Ra H paying dividend 47.2800 -3.16% -15.47%
GAM Local Emerging Bd.CHF Ra H paying dividend 53.5100 -5.40% -18.44%
GAM Multibond - Local Emerging B... paying dividend 38.9300 -3.77% -17.10%
GAM Multibond - Local Emerging B... paying dividend 64.1800 -1.80% -10.98%
GAM Multibond - Local Emerging B... reinvestment 67.9100 -6.01% -20.02%
GAM Multibond - Local Emerging B... reinvestment 156.8900 -3.78% -17.11%
GAM Multibond - Local Emerging B... reinvestment 275.2600 -1.80% -10.98%

Performance

YTD
  -6.64%
6 Months
  -2.76%
1 Year
  -3.16%
3 Years
  -15.47%
5 Years
  -14.37%
10 Years
  -25.72%
Since start
  -21.31%
Year
2023  
+10.85%
2022
  -10.83%
2021
  -12.09%
2020  
+1.36%
2019  
+7.50%
2018
  -9.80%
2017  
+11.96%
2016  
+8.95%
2015
  -16.48%
 

Dividends

07/11/2023 2.45 EUR
08/11/2022 2.36 EUR
09/11/2021 3.00 EUR
10/11/2020 3.04 EUR
12/11/2019 2.83 EUR
13/11/2018 3.58 EUR
07/11/2017 5.05 EUR
08/11/2016 5.10 EUR
10/11/2015 3.90 EUR
11/11/2014 4.20 EUR