NAV07/01/2025 Var.+435.0000 Type of yield Focus sugli investimenti Società d'investimento
43,076.0000JPY +1.02% reinvestment Equity Mixed Sectors FundRock M. Co. 
 

Performance mensile

  gen feb mar apr mag giu lug ago set ott nov dic Totale
2006 - - - - - - -0.42 4.57 -1.71 0.89 -0.73 4.93 -
2007 2.09 2.46 -2.43 -2.44 5.44 2.22 -2.17 -7.62 1.95 1.00 -6.32 -2.66 -8.92%
2008 -8.75 -1.72 -10.10 13.93 4.54 -7.07 -1.81 -4.86 -12.02 -20.62 -3.91 2.72 -42.53%
2009 -5.23 -3.78 5.59 11.64 11.84 4.12 2.20 5.29 -6.82 -0.01 -4.67 7.62 +28.77%
2010 1.98 1.27 9.85 2.52 -12.79 -7.16 0.94 -4.88 2.58 -0.86 7.26 5.79 +4.34%
2011 1.14 5.61 -6.70 -2.54 -1.16 1.60 -0.13 -8.21 -1.93 2.63 -5.82 0.79 -14.58%
2012 3.96 10.95 3.00 -5.51 -12.32 8.15 -3.84 -2.01 2.89 7.27 5.10 12.40 +30.76%
2013 10.16 3.49 6.46 12.09 -0.16 0.00 0.99 -2.92 6.90 -0.77 5.08 2.92 +52.78%
2014 -4.66 -0.59 -0.42 -2.02 3.74 4.51 1.18 -1.31 3.71 -0.86 7.46 -1.26 +9.22%
2015 -2.70 12.21 0.16 5.67 6.87 -2.98 -0.29 -8.20 -7.83 12.13 0.57 -2.85 +10.74%
2016 -9.43 -11.29 5.81 -0.93 3.36 -11.54 7.55 2.04 -1.97 6.97 9.04 3.81 +0.32%
2017 0.45 1.15 -1.70 0.95 0.52 2.67 0.90 -0.28 4.48 4.79 0.80 1.90 +17.75%
2018 0.08 -3.17 -2.11 4.91 -3.28 -0.73 2.86 -1.94 5.71 -7.57 -0.20 -9.17 -14.62%
2019 6.45 0.80 -1.54 1.96 -7.08 3.59 0.11 -6.00 8.23 6.29 1.91 2.02 +16.74%
2020 -4.23 -9.84 -12.74 5.25 6.49 -3.15 -9.07 14.19 -1.27 -3.37 11.01 4.25 -6.24%
2021 3.99 11.58 8.70 -4.28 3.29 -1.05 -1.40 -0.29 5.53 -1.12 -5.89 3.90 +23.79%
2022 3.12 2.07 3.30 -0.49 3.30 0.63 1.92 1.99 -4.91 3.83 4.20 -3.92 +15.58%
2023 4.98 4.02 0.76 3.53 2.78 7.69 3.53 0.59 3.48 -3.22 3.75 -0.27 +36.07%
2024 5.94 3.76 7.11 1.94 -1.48 1.44 1.64 -2.08 -1.47 1.85 -2.33 6.60 -
2025 0.37 - - - - - - - - - - - -

Calculated values

  YTD 6 mesi 1 anno 3 anni 5 anni
Volatilità -% 25.65% 20.47% 16.69% 19.83%
Indice di Sharpe 0.00 0.07 0.96 1.28 0.77
Mese migliore +6.60% +6.60% +7.11% +7.69% +14.19%
Mese peggiore +0.37% -2.33% -2.33% -4.91% -12.74%
Perdita massima 0.00% -20.68% -20.68% -20.68% -32.15%
Outperformance - - - - -
 
Tutte le quotazioni in JPY

Tranches

Nome   Type of yield Prezzo di riacquisto 1 anno 3 anni
Arcus Japan Fund B ACC EUR hedge... reinvestment 236.3200 - -
Arcus Japan Fund B ACC USD hedge... reinvestment 672.3700 - -
Arcus Japan Fund A ACC EUR hedge... reinvestment 351.3000 - -
Arcus Japan Fund A ACC USD hedge... reinvestment 519.3200 - -
Arcus Japan Fund A ACC GBP hedge... reinvestment 346.1900 - -
Arcus Japan Fund C ACC EUR hedge... reinvestment 105.3200 - -
Arcus Japan Fund C ACC EUR unhed... reinvestment 105.8500 - -
Arcus Japan Fund A ACC USD unhed... reinvestment 123.0400 - -
Arcus Japan Fund A ACC EUR unhed... reinvestment 106.9800 - -
Arcus Japan Fund A ACC GBP unhed... reinvestment 119.1500 - -
Arcus Japan Fund F ACC JPY unhed... reinvestment 13,440.0000 - -
Arcus Japan Fund F ACC USD unhed... reinvestment 125.2600 - -
Arcus Japan Fund B ACC USD unhed... reinvestment 117.7800 - -
Arcus Japan Fund B ACC EUR unhed... reinvestment 109.6800 - -
Arcus Japan Fund F ACC USD hedge... reinvestment 127.4100 - -
Arcus Japan Fund Platform ACC GB... reinvestment 198.8500 - -
Arcus Japan Fund A ACC JPY unhed... reinvestment 43,076.0000 +22.24% +91.36%
Arcus Japan Fund B ACC JPY unhed... reinvestment 24,368.0000 - -
Arcus Japan Fund E ACC USD hedge... reinvestment 102.3600 - -
Arcus Japan Fund A DIS GBP unhed... paying dividend 120.9900 - -
Arcus Japan Fund D ACC EUR unhed... reinvestment 139.0700 - -
Arcus Japan Fund D ACC USD unhed... reinvestment 130.9400 - -
Arcus Japan Fund E DIS GBP unhed... paying dividend 107.6000 - -
Arcus Japan Fund E ACC GBP unhed... reinvestment 102.3200 - -
Arcus Japan Fund E ACC EUR unhed... reinvestment 133.5100 - -
Arcus Japan Fund E ACC USD unhed... reinvestment 121.4900 - -
Arcus Japan Fund D DIS GBP unhed... paying dividend 117.7800 - -
Arcus Japan Fund E ACC JPY unhed... reinvestment 13,031.0000 - -
Arcus Japan Fund D DIS JPY unhed... paying dividend 10,961.0000 - -

Prestazione

YTD  
+0.37%
6 mesi  
+2.22%
1 anno  
+22.24%
3 anni  
+91.36%
5 anni  
+128.19%
Dall'inizio  
+330.76%
Anno
2023  
+36.07%
2022  
+15.58%
2021  
+23.79%
2020
  -6.24%
2019  
+16.74%
2018
  -14.62%
2017  
+17.75%
2016  
+0.32%