iShares Global Clean Energy ETF USD (Dist)/  US4642882249  /

Fonds
NAV9/25/2023 Chg.-0.1271 Type of yield Investment Focus Investment company
14.9887USD -0.84% paying dividend Equity BlackRock 
  • Dividends adjusted Dividends adjusted

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2008 - - - - - - -2.46 2.29 -27.83 -39.54 -13.03 8.97 -
2009 -9.23 -19.78 15.03 20.11 14.20 -4.48 2.10 -8.83 9.92 -11.03 3.33 3.97 +7.33%
2010 -11.98 -7.81 5.55 -1.72 -18.30 -3.53 10.61 -3.90 10.85 -1.77 -12.61 6.38 -28.62%
2011 4.18 3.82 9.45 -2.01 -7.91 -4.12 -9.25 -9.55 -29.51 5.79 -6.48 - -45.30%
2012 0.81 2.23 - -10.93 -16.82 - -10.17 5.28 - -2.51 2.10 7.10 -17.51%
2013 2.48 -0.20 - 15.70 6.60 - 3.26 -3.98 14.12 3.40 0.04 -1.43 +45.50%
2014 0.52 7.80 -11.23 -4.54 4.32 7.12 -4.89 4.84 -8.10 -3.49 -1.51 -3.69 -13.92%
2015 2.57 9.49 8.61 5.56 -4.35 -5.84 -5.39 -10.01 -4.51 8.52 -4.73 5.41 +2.73%
2016 -11.79 -2.35 10.00 -0.44 -5.58 2.26 3.76 1.37 -1.22 1.62 -9.20 - -13.81%
2017 2.90 1.77 -1.07 2.05 -0.62 0.29 5.44 0.68 -1.37 3.82 -4.18 5.57 +17.39%
2018 3.01 -2.18 1.04 4.33 -1.73 -9.90 4.13 -4.29 -1.44 -5.59 10.33 -7.56 -11.04%
2019 14.33 2.75 0.35 3.91 -1.32 6.18 0.76 1.98 -0.25 -1.89 3.00 6.64 +41.77%
2020 3.58 2.32 -22.58 11.68 10.69 4.78 15.73 19.01 7.48 5.67 20.94 19.25 +139.77%
2021 6.15 -13.45 -6.78 -3.66 -1.36 2.27 -3.04 2.84 -7.25 9.64 -1.03 -9.77 -24.63%
2022 -16.19 16.70 3.56 -11.99 5.74 -4.78 17.27 -0.61 -13.78 -1.30 12.15 -5.96 -6.13%
2023 4.25 -7.18 2.89 -5.40 -1.87 0.02 -0.55 -12.05 -6.78 - - - -
Single months: Dividends not considered

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 20.18% 19.02% 23.59% 29.51% 28.64%
Sharpe ratio -1.80 -2.13 -1.16 -0.26 0.27
Best month +4.25% +2.89% +12.15% +20.94% +20.94%
Worst month -12.05% -12.05% -13.78% -16.19% -22.58%
Maximum loss -29.90% -24.73% -29.90% -54.85% -54.85%
Outperformance - - - - -
 
All quotes in USD

Performance

YTD
  -24.63%
6 Months
  -20.30%
1 Year
  -23.29%
3 Years
  -10.54%
5 Years  
+73.41%
Since start
  -71.08%
Year
2022
  -6.13%
2021
  -24.63%
2020  
+139.77%
2019  
+41.77%
2018
  -11.04%
2017  
+17.39%
2016
  -13.81%
2015  
+2.73%
2014
  -13.92%
 

Dividends

12/21/2017 0.09 USD
6/20/2017 0.14 USD
12/22/2016 0.15 USD
6/21/2016 0.16 USD
12/21/2015 0.08 USD
6/24/2015 0.16 USD
12/19/2014 0.18 USD
6/24/2014 0.10 USD
12/17/2013 0.12 USD