NAV12.06.2024 Diff.+0,0290 Ertragstyp Ausrichtung Fondsgesellschaft
52,0174EUR +0,06% thesaurierend Aktien weltweit Lombard Odier F.(EU) 
 

Monatliche Performance

  Jan Feb Mrz Apr Mai Jun Jul Aug Sep Okt Nov Dez Gesamt
2009 - - - - - - 7,44 2,77 2,55 -3,81 3,50 7,33 -
2010 0,21 3,26 6,75 1,60 -0,91 -2,00 -0,11 -0,40 0,73 0,92 4,29 4,04 +19,60%
2011 -1,50 1,26 -2,81 -0,76 1,90 -2,52 -2,24 -6,10 -3,45 4,99 1,47 2,95 -7,11%
2012 5,38 0,99 1,94 1,34 -0,81 0,59 3,07 0,95 0,40 -1,91 2,25 0,75 +15,80%
2013 2,83 5,17 3,74 -3,13 4,20 -1,13 2,05 -0,36 1,96 2,40 1,70 -0,17 +20,70%
2014 0,95 3,54 -0,37 -2,14 3,18 1,01 0,22 4,74 1,35 3,62 4,26 2,29 +24,87%
2015 6,83 5,50 3,46 -1,92 2,57 -3,59 2,51 -8,27 -2,58 11,48 4,96 -4,46 +15,80%
2016 -4,48 0,49 0,93 -0,07 4,94 -1,16 5,19 1,67 -0,81 0,58 2,88 0,71 +11,00%
2017 3,37 5,49 1,26 1,39 0,26 0,45 -1,46 -0,64 2,29 4,15 0,47 0,46 +18,72%
2018 2,80 -2,09 -2,33 2,13 4,20 0,31 4,57 0,99 -0,01 -5,18 3,69 -7,34 +0,95%
2019 6,70 4,86 3,46 4,89 -6,25 4,40 2,94 -1,58 3,09 -0,44 6,49 -0,15 +31,41%
2020 0,71 -7,35 -16,00 13,24 5,01 0,42 0,05 4,18 -0,62 0,51 9,45 3,18 +10,05%
2021 1,14 2,74 6,66 2,51 -0,32 4,74 1,45 3,18 -2,28 4,32 -1,65 3,02 +28,24%
2022 -5,38 -1,59 -0,86 -6,92 -2,92 -9,17 11,76 -4,68 -8,14 3,58 5,72 -6,51 -24,09%
2023 8,32 -0,30 -1,12 -3,31 4,64 3,68 1,93 -0,64 -4,12 -4,30 10,58 6,58 +22,68%
2024 0,41 6,22 1,97 -3,91 1,29 1,75 - - - - - - -

Kennzahlen

  lfd. Jahr 6 Monate 1 Jahr 3 Jahre 5 Jahre
Volatilität 12,70% 12,33% 12,69% 17,75% 20,15%
Sharpe Ratio 1,14 1,52 1,20 -0,01 0,30
Bester Monat +6,58% +6,58% +10,58% +11,76% +13,24%
Schlechtester Monat -3,91% -3,91% -4,30% -9,17% -16,00%
Maximaler Verlust -5,76% -5,76% -10,82% -28,29% -34,37%
Outperformance +5,42% - +9,13% +22,74% +58,28%
 
Alle Kurse in EUR

Tranchen

Titel   Ertragstyp Rückn. Preis 1 Jahr 3 Jahre
LO Funds - Generation Global, (C... thesaurierend 32,9790 +18,35% +0,48%
LO Funds - Generation Global, (E... thesaurierend 55,9203 +19,66% +13,25%
LO Funds - Generation Global, (U... thesaurierend 41,4462 +20,79% +1,54%
LO Fds.Generation Gl.SA CHF thesaurierend 41,5001 +19,72% -
LO Funds - Generation Global, (E... ausschüttend 56,1765 +19,66% -
LO Funds - Generation Global, (U... ausschüttend 41,2840 +20,79% -
LO Funds - Generation Global, (E... thesaurierend 56,0747 +19,71% -
LO Funds - Generation Global, (U... thesaurierend 41,5704 +20,84% -
LO Funds - Generation Global, (C... thesaurierend 33,1069 +18,40% -
LO Funds - Generation Global, (J... ausschüttend 11.350,0000 +34,64% -
LO Funds - Generation Global, (C... thesaurierend 30,5595 +17,64% -1,23%
LO Funds - Generation Global, (E... thesaurierend 52,0174 +18,95% +11,32%
LO Funds - Generation Global, (U... ausschüttend 38,3045 +20,07% -0,22%
LO Funds - Generation Global, (U... thesaurierend 38,4086 +20,07% -0,22%
LO Funds - Generation Global, (C... ausschüttend 30,6087 +17,64% -1,23%
LO Funds - Generation Global, (E... ausschüttend 52,0819 +18,95% +11,33%
LO Funds - Generation Global, (E... thesaurierend 46,7456 +17,70% +8,02%
LO Funds - Generation Global, (E... ausschüttend 53,4713 +19,42% +12,62%
LO Fds.Generation Gl.MA CHF thesaurierend 31,4511 +18,11% -0,09%
LO Funds - Generation Global, (C... ausschüttend 31,4319 +18,11% -
LO Funds - Generation Global, (E... thesaurierend 53,4286 +19,42% -
LO Funds - Generation Global, (U... thesaurierend 39,5640 +20,55% -
LO Funds - Generation Global, (U... ausschüttend 39,3510 +20,55% -

Performance

lfd. Jahr  
+7,71%
6 Monate  
+10,62%
1 Jahr  
+18,95%
3 Jahre  
+11,32%
5 Jahre  
+58,74%
10 Jahre  
+236,67%
seit Beginn  
+561,80%
Jahr
2023  
+22,68%
2022
  -24,09%
2021  
+28,24%
2020  
+10,05%
2019  
+31,41%
2018  
+0,95%
2017  
+18,72%
2016  
+11,00%
2015  
+15,80%