Aviva Investors - Emerging Markets Bond Fund - Ih EUR/  LU0401379127  /

Fonds
NAV08/01/2025 Chg.-0.2478 Type de rendement Focus sur l'investissement Société de fonds
131.6918EUR -0.19% reinvestment Bonds Emerging Markets Aviva Investors (LU) 
 

Performance mensuelle

  janv. févr. mars avr. mai juin juil. août sept. oct. nov. déc. Total
2011 - - - - - - - - - 3.93 -0.56 1.50 -
2012 1.39 3.50 0.51 1.43 -2.69 3.20 4.50 1.13 1.34 0.79 1.61 0.84 +18.82%
2013 -1.31 0.00 -0.75 2.54 -3.62 -4.93 0.84 -2.63 2.39 2.29 -2.62 0.70 -7.19%
2014 -1.07 3.11 1.02 1.66 2.96 0.82 0.00 0.45 -2.63 1.32 -0.62 -3.03 +3.84%
2015 0.63 1.09 0.14 1.44 -0.68 -1.73 0.67 -1.21 -1.84 3.42 0.50 -2.06 +0.23%
2016 -0.48 2.19 2.62 1.99 -0.11 3.09 1.64 2.11 0.28 -1.58 -4.00 1.09 +8.95%
2017 1.31 1.49 0.22 1.54 0.75 -0.57 0.48 1.09 0.02 0.02 -0.57 0.06 +5.97%
2018 -0.03 -1.49 0.03 -0.76 -1.21 -1.49 1.59 -2.29 1.88 -2.72 -0.98 0.88 -6.50%
2019 4.24 0.68 1.20 0.01 -0.46 3.23 0.65 -0.18 -0.21 0.28 -0.44 1.89 +11.33%
2020 1.36 -0.57 -14.99 2.81 7.49 2.67 3.85 0.21 -1.73 0.10 4.27 1.80 +5.63%
2021 -1.05 -2.28 -1.33 1.73 0.88 0.74 0.32 1.02 -2.30 -0.25 -2.21 1.03 -3.76%
2022 -2.99 -6.17 0.39 -5.56 0.52 -7.16 2.80 -1.18 -6.59 0.24 6.69 0.06 -18.23%
2023 3.14 -2.81 1.50 0.18 -0.63 1.60 1.59 -2.12 -2.76 -1.65 5.38 3.95 +7.19%
2024 -0.92 0.22 2.31 -2.53 1.72 0.58 1.68 2.49 1.80 -1.55 1.07 -1.66 -
2025 0.09 - - - - - - - - - - - -

Valeurs calculées

  CAD 6 Mois 1 An 3 Ans 5 Ans
Volatilité 2.62% 4.04% 4.74% 7.43% 8.19%
Ratio de Sharpe 0.58 1.11 0.96 -0.65 -0.50
Le meilleur mois +0.09% +2.49% +2.49% +6.69% +7.49%
Le plus défavorable mois -1.66% -1.66% -2.53% -7.16% -14.99%
Perte maximale -0.38% -2.71% -3.11% -24.76% -29.06%
Surperformance -4.11% - +8.10% +4.91% +9.13%
 
Toutes les cotations dans EUR

Tranches

Nom   Type de rendement Prix de rachat 1 An 3 Ans
Aviva Investors - Emerging Marke... paying dividend 102.3930 +8.68% -
Aviva Investors - Emerging Marke... reinvestment 104.6208 +8.76% -
Aviva Investors - Emerging Marke... reinvestment 12.8643 +8.16% -1.58%
Aviva Inv.-Em.Mkt.Bond Fd.Rah EU... paying dividend 7.8054 +7.34% -5.85%
Aviva Investors - Emerging Marke... paying dividend 10.3398 +6.09% -
Aviva Investors - Emerging Marke... reinvestment 308.5999 +9.12% +1.06%
Aviva Investors - Emerging Marke... reinvestment 131.6918 +7.33% -5.97%
Aviva Investors - Emerging Marke... reinvestment 100.5407 +4.42% -10.54%
Aviva Inv.-Em.Mkt.Bond Fd.la USD paying dividend 83.7396 +9.15% +1.10%
Aviva Investors - Emerging Marke... reinvestment 15.0586 +8.44% -0.82%
Aviva Inv.-Em.Mkt.Bond Fd.Ah EUR reinvestment 10.7574 +6.62% -7.73%

Performance

CAD  
+0.09%
6 Mois  
+3.59%
1 An  
+7.33%
3 Ans
  -5.97%
5 Ans
  -6.54%
Depuis le début  
+31.69%
Année
2023  
+7.19%
2022
  -18.23%
2021
  -3.76%
2020  
+5.63%
2019  
+11.33%
2018
  -6.50%
2017  
+5.97%
2016  
+8.95%