LUXEMBOURG SELECTION FUND - Active Solar Anteilsklasse C CHF/  LU0377294268  /

Fonds
NAV21/05/2024 Var.+0.2100 Type of yield Focus sugli investimenti Società d'investimento
30.6200CHF +0.69% reinvestment Equity Worldwide UBS TPM. Co. 
 

Performance mensile

  gen feb mar apr mag giu lug ago set ott nov dic Totale
2008 - - - - - - - - - -36.97 -16.76 0.82 -
2009 -11.06 -19.90 18.31 23.13 12.79 -2.53 3.38 -13.21 15.11 -10.83 11.09 16.05 +35.48%
2010 -13.59 -6.28 9.90 0.63 -17.16 -1.50 14.82 0.11 15.80 -3.05 -15.95 3.93 -17.61%
2011 6.62 5.61 3.56 -4.55 -11.30 -3.17 -15.06 -16.37 -42.96 8.69 -17.85 -14.70 -70.50%
2012 22.50 -2.28 -14.09 -11.45 -20.08 6.22 -15.88 8.01 -0.09 -11.84 -2.00 17.79 -28.58%
2013 16.41 0.30 -10.26 27.75 26.72 1.33 24.65 -4.98 16.84 6.97 6.45 -3.94 +160.16%
2014 10.24 10.17 -6.54 -7.35 4.12 6.06 -8.10 11.13 -0.03 -3.66 -7.39 -4.45 +1.10%
2015 -8.58 16.43 5.92 3.83 -3.41 -7.38 -12.42 -17.49 -2.62 13.57 -5.56 14.78 -9.27%
2016 -18.95 -4.17 0.37 0.56 -5.71 -6.40 -1.26 -4.90 -4.37 -3.04 -10.33 3.57 -44.05%
2017 2.21 6.87 -4.58 0.25 2.68 5.27 10.07 0.21 2.19 10.47 0.92 3.53 +46.94%
2018 2.83 -2.32 0.84 2.58 0.43 -16.33 1.82 -2.64 -7.92 -12.16 14.29 -12.33 -29.87%
2019 22.52 8.19 -9.23 6.40 4.39 7.74 1.75 3.40 -4.33 -3.70 2.22 11.59 +59.18%
2020 2.26 9.38 -26.93 20.71 8.60 9.80 19.68 20.33 14.25 9.17 13.45 14.65 +174.83%
2021 5.90 -9.18 -9.93 -4.44 -3.97 15.77 -4.07 4.61 -7.62 20.66 -9.84 -12.21 -18.53%
2022 -14.85 11.19 6.08 -12.52 12.13 0.31 13.76 -0.74 -12.93 -2.72 11.99 -10.82 -5.61%
2023 12.79 -6.80 -0.64 -6.99 -3.76 2.63 -3.91 -14.73 -9.90 -14.19 5.25 13.46 -27.42%
2024 -18.19 1.71 4.94 -10.62 1.39 - - - - - - - -

Calculated values

  YTD 6 mesi 1 anno 3 anni 5 anni
Volatilità 31.21% 32.10% 30.49% 33.69% 35.89%
Indice di Sharpe -1.59 -0.75 -1.44 -0.64 0.11
Mese migliore +13.46% +13.46% +13.46% +20.66% +20.71%
Mese peggiore -18.19% -18.19% -18.19% -18.19% -26.93%
Perdita massima -22.91% -25.13% -43.92% -59.09% -63.44%
Outperformance +16.15% - +26.06% - -
 
Tutte le quotazioni in CHF

Tranches

Nome   Type of yield Prezzo di riacquisto 1 anno 3 anni
LUXEMBOURG SELECTION FUND - Acti... reinvestment 30.6200 -40.11% -44.25%
LUXEMBOURG SELECTION FUND - Acti... reinvestment 58.1900 -34.35% -
LUXEMBOURG SELECTION FUND - Acti... reinvestment 52.7900 -37.14% -
LUXEMBOURG SELECTION FUND - Acti... reinvestment 119.1800 -39.17% -44.80%
LUXEMBOURG SELECTION FUND - Acti... reinvestment 32.9900 -38.62% -42.28%
LUXEMBOURG SELECTION FUND - Acti... reinvestment 62.5100 -36.81% -36.83%
LUXEMBOURG SELECTION FUND - Acti... reinvestment 56.8600 -38.23% -41.94%
LUXEMBOURG SELECTION FUND - Acti... reinvestment 49.0300 -38.29% -
LUXEMBOURG SELECTION FUND - Acti... reinvestment 45.3700 -37.22% -37.87%

Prestazione

YTD
  -20.88%
6 mesi
  -10.62%
1 anno
  -40.11%
3 anni
  -44.25%
5 anni  
+45.60%
10 anni
  -1.76%
Dall'inizio
  -69.38%
Anno
2023
  -27.42%
2022
  -5.61%
2021
  -18.53%
2020  
+174.83%
2019  
+59.18%
2018
  -29.87%
2017  
+46.94%
2016
  -44.05%
2015
  -9.27%