NAV30.05.2024 Diff.-1,2200 Ertragstyp Ausrichtung Fondsgesellschaft
83,0900USD -1,45% thesaurierend Alternative Investments weltweit Vontobel AM 
 

Monatliche Performance

  Jan Feb Mrz Apr Mai Jun Jul Aug Sep Okt Nov Dez Gesamt
2007 - - - - -0,53 0,10 1,73 -1,62 6,43 3,71 -0,66 4,49 -
2008 2,86 10,54 -2,87 2,36 8,25 8,61 -11,20 -8,78 -12,06 -19,79 -5,55 -3,04 -30,45%
2009 -4,60 -3,94 3,35 0,13 12,66 -1,76 2,89 0,56 1,03 2,59 3,09 2,12 +18,52%
2010 -6,95 3,36 0,31 0,78 -7,72 -0,18 5,58 -1,46 7,18 5,31 -1,09 11,17 +15,64%
2011 1,93 2,31 2,08 3,77 -4,77 -5,73 2,59 1,51 -14,60 6,36 -1,85 -3,50 -11,16%
2012 2,80 2,39 -3,76 -1,36 -9,41 4,52 5,81 2,65 1,77 -4,32 0,01 -2,73 -2,68%
2013 2,02 -5,18 -0,13 -3,43 -1,90 -3,49 1,87 2,40 -1,87 -1,69 -0,77 1,23 -10,72%
2014 -0,11 5,19 -0,03 2,36 -2,71 1,05 -3,86 -1,21 -5,68 -4,41 -5,13 -6,71 -19,91%
2015 -1,64 0,12 -4,91 3,98 -2,75 0,03 -8,47 -2,07 -3,80 0,38 -5,20 -2,14 -23,94%
2016 -2,37 1,00 4,70 7,44 0,60 3,57 -4,23 -1,55 3,07 -1,71 2,92 1,77 +15,64%
2017 0,07 0,10 -2,67 -1,39 -1,18 -1,62 3,85 -0,26 1,27 -0,48 1,30 2,63 +1,45%
2018 2,93 -0,50 2,55 2,28 -0,22 -3,98 -0,08 -1,80 -2,00 -5,55 -3,40 -6,66 -15,71%
2019 7,33 4,83 -1,02 0,85 -7,09 0,27 -0,70 -3,60 -0,47 0,61 -0,71 8,75 +8,30%
2020 -7,25 -4,90 -14,63 0,05 9,88 6,72 7,89 1,19 -4,41 -2,65 5,86 3,94 -1,24%
2021 1,83 8,97 1,20 12,21 2,95 1,33 1,00 -2,02 2,91 2,78 -7,00 4,80 +34,08%
2022 9,18 6,64 7,94 6,38 0,84 -13,39 1,10 1,26 -11,43 1,78 4,77 -2,73 +9,81%
2023 2,87 -6,36 1,82 -0,32 -5,92 0,61 8,42 -1,29 -0,93 -2,93 1,36 -2,46 -5,81%
2024 1,33 0,28 4,83 1,98 1,94 - - - - - - - -

Kennzahlen

  lfd. Jahr 6 Monate 1 Jahr 3 Jahre 5 Jahre
Volatilität 10,92% 11,75% 12,61% 20,20% 19,80%
Sharpe Ratio 2,25 1,11 0,70 0,06 0,29
Bester Monat +4,83% +4,83% +8,42% +9,18% +12,21%
Schlechtester Monat -2,46% -2,46% -5,92% -13,39% -14,63%
Maximaler Verlust -3,90% -5,43% -10,47% -29,86% -34,00%
Outperformance -5,83% - -2,05% -5,34% -12,97%
 
Alle Kurse in USD

Tranchen

Titel   Ertragstyp Rückn. Preis 1 Jahr 3 Jahre
Vontobel Fd.-Commodity HN CHF H thesaurierend 121,6100 +8,68% +7,97%
Vontobel Fd.-Commodity G GBP thesaurierend 161,7400 +11,10% +34,39%
Vontobel Fd.-Commodity N GBP thesaurierend 88,7600 +10,59% -
Vontobel Fd.-Commodity R USD thesaurierend 79,3100 +14,21% +21,38%
Vontobel Fund - Commodity HI (he... thesaurierend 88,4900 +11,27% +11,08%
Vontobel Fund - Commodity I USD thesaurierend 117,1500 +13,56% +18,38%
Vontobel Fund - Commodity HI (he... thesaurierend 693,2700 +10,88% +11,11%
Vontobel Fund - Commodity HI (he... thesaurierend 90,7300 +8,63% +7,21%
Vontobel Fd.-Commodity G USD thesaurierend 161,5900 +13,94% +20,52%
Vontobel Fund - Commodity H (hed... thesaurierend 57,8000 +7,86% +4,84%
Vontobel Fund - Commodity H (hed... thesaurierend 697,8300 +10,29% +8,96%
Vontobel Fd.-Commodity N USD thesaurierend 148,9200 +13,51% +19,15%
Vontobel Fd.-Commodity HN EUR H thesaurierend 127,6100 +11,15% +12,06%
Vontobel Fund - Commodity H (hed... thesaurierend 46,3700 +10,40% +8,72%
Vontobel Fund - Commodity C USD thesaurierend 131,2700 +12,00% +14,42%
Vontobel Fund - Commodity B USD thesaurierend 83,0900 +12,68% +15,63%

Performance

lfd. Jahr  
+10,73%
6 Monate  
+8,01%
1 Jahr  
+12,68%
3 Jahre  
+15,63%
5 Jahre  
+57,40%
10 Jahre
  -5,41%
seit Beginn
  -16,91%
Jahr
2023
  -5,81%
2022  
+9,81%
2021  
+34,08%
2020
  -1,24%
2019  
+8,30%
2018
  -15,71%
2017  
+1,45%
2016  
+15,64%
2015
  -23,94%