AXA WF Global Inflation Bonds A Distribution EUR/  LU0451400831  /

Fonds
NAV09.01.2025 Diff.-0.1900 Ertragstyp Ausrichtung Fondsgesellschaft
76.3100EUR -0.25% ausschüttend Anleihen weltweit AXA IM Paris 
  • Ausschüttungsbereinigt Ausschüttungsbereinigt

Monatliche Performance

  Jan Feb Mär Apr Mai Jun Jul Aug Sep Okt Nov Dez Gesamt
2009 - - - - - - - - - - 1.73 -1.44 -
2010 0.54 -0.53 1.32 0.94 0.15 0.44 -0.02 2.64 0.15 0.85 -2.21 -0.09 +4.19%
2011 -0.15 1.14 0.68 1.52 1.34 0.30 2.38 0.20 1.03 0.24 1.04 2.03 +12.38%
2012 1.74 -0.39 -0.58 0.65 2.11 -0.95 1.74 0.07 -0.91 0.47 1.26 0.08 +5.36%
2013 0.22 -0.13 1.16 0.75 -3.40 -4.14 0.65 -0.92 0.69 0.93 -1.03 -1.37 -6.54%
2014 1.86 0.31 0.23 1.13 1.54 0.19 0.58 1.84 -1.73 0.70 1.66 -0.29 +8.26%
2015 4.25 -1.97 1.04 -0.20 -0.89 -1.56 1.41 -1.17 -0.39 0.25 0.42 -2.14 -1.10%
2016 2.45 0.13 1.41 -0.60 0.45 4.01 0.59 2.41 0.00 -1.00 -2.91 1.07 +8.11%
2017 -0.08 0.53 -0.21 1.14 -0.55 -1.68 -0.26 1.89 -1.78 0.55 0.34 0.80 +0.63%
2018 -1.52 -0.28 1.34 -0.94 0.08 0.09 -0.37 -0.37 -0.99 -0.44 -1.17 1.21 -3.37%
2019 0.53 -0.64 2.75 -0.35 2.08 0.44 1.62 2.58 -1.18 -1.93 -0.64 -0.72 +4.50%
2020 2.63 0.97 -3.25 2.84 1.48 1.10 1.64 -1.23 0.48 -0.14 0.87 0.30 +7.80%
2021 -0.77 -3.05 0.82 0.70 1.42 0.38 3.34 0.02 -1.61 1.84 2.40 -1.74 +3.61%
2022 -2.09 0.56 -1.17 -3.43 -3.45 -3.50 4.37 -4.04 -7.28 0.44 2.14 -2.63 -18.79%
2023 2.15 -2.34 3.26 -1.10 -2.16 0.11 -0.19 -1.13 -2.89 -0.75 2.87 3.47 +1.03%
2024 -1.18 -0.93 1.07 -2.15 0.93 0.40 1.71 -0.02 0.89 -1.99 0.84 -2.42 -
2025 -0.88 - - - - - - - - - - - -
Einzelne Monate: Ausschüttungen nicht berücksichtigt

Kennzahlen

  lfd. Jahr 6 Monate 1 Jahr 3 Jahre 5 Jahre
Volatilität 2.36% 4.02% 5.03% 8.60% 8.00%
Sharpe Ratio -13.98 -1.75 -1.04 -1.13 -0.67
Bester Monat -0.88% +1.71% +1.71% +4.37% +4.37%
Schlechtester Monat -2.42% -2.42% -2.42% -7.28% -7.28%
Maximaler Verlust -0.92% -5.25% -5.25% -24.32% -25.26%
Outperformance +4.42% - +3.64% +2.27% +4.89%
 
Alle Kurse in EUR

Tranchen

Titel   Ertragstyp Rückn. Preis 1 Jahr 3 Jahre
AXA WF Global Inflation Bonds I ... thesaurierend 126.7000 -4.73% -22.57%
AXA WF-Global Infl.Bonds F Cap C... thesaurierend 90.0300 -4.82% -22.98%
AXA WF-Global Infl.Bonds I Dis A... ausschüttend 84.7200 -1.43% -16.47%
AXA WF Global Inflation Bonds A ... thesaurierend 119.1400 -5.05% -23.51%
AXA WF Global Inflation Bonds E ... thesaurierend 122.5200 -3.07% -20.89%
AXA WF-Global Infl.Bonds E Dis E... ausschüttend 79.1200 -3.07% -20.52%
AXA WF Global Inflation Bonds A ... thesaurierend 98.8100 -2.65% -17.40%
AXA WF Global Inflation Bonds I ... ausschüttend 77.5100 -2.02% -18.31%
AXA WF Global Inflation Bonds I ... thesaurierend 151.2300 -0.68% -15.18%
AXA WF Global Inflation Bonds I ... thesaurierend 98.0500 +4.34% +8.09%
AXA WF Global Inflation Bonds I ... ausschüttend 92.7500 -0.27% -12.82%
AXA WF Global Inflation Bonds F ... ausschüttend 72.8600 -2.19% -18.73%
AXA WF Global Inflation Bonds I ... thesaurierend 127.7100 +5.99% +14.27%
AXA WF-Global Infl.Bonds I Cap U... thesaurierend 125.6700 -0.26% -12.85%
AXA WF-Global Infl.Bonds F Cap E... thesaurierend 105.8100 -2.19% -18.73%
AXA WF-Global Infl.Bonds F Cap U... thesaurierend 127.9600 -0.44% -13.38%
AXA WF-Global Infl.Bonds F Cap G... thesaurierend 112.8300 -0.90% -15.67%
AXA WF-Global Infl.Bonds ZF Cap ... thesaurierend 91.8500 -2.09% -18.46%
AXA WF-Global Infl.Bonds ZF Dis ... ausschüttend 76.5600 -2.09% -18.46%
AXA WF Global Inflation Bonds I ... ausschüttend 90.7900 -0.70% -15.11%
AXA WF Global Inflation Bonds I ... thesaurierend 144.0200 -2.02% -18.32%
AXA WF Global Inflation Bonds A ... thesaurierend 142.6100 -1.14% -16.31%
AXA WF Global Inflation Bonds A ... ausschüttend 76.3100 -2.43% -19.35%
AXA WF Global Inflation Bonds A ... thesaurierend 93.9300 +4.42% +7.58%
AXA WF Global Inflation Bonds A ... thesaurierend 134.8600 -2.43% -19.35%
AXA WF Global Inflation Bonds A ... thesaurierend 186.5800 -0.68% -13.97%

Performance

lfd. Jahr
  -0.88%
6 Monate
  -2.17%
1 Jahr
  -2.43%
3 Jahre
  -19.35%
5 Jahre
  -12.21%
seit Beginn  
+19.90%
Jahr
2023  
+1.03%
2022
  -18.79%
2021  
+3.61%
2020  
+7.80%
2019  
+4.50%
2018
  -3.37%
2017  
+0.63%
2016  
+8.11%
 

Ausschüttungen

30.12.2024 1.80 EUR
29.12.2023 3.41 EUR
30.12.2022 5.42 EUR
30.12.2021 1.75 EUR
30.12.2019 0.41 EUR
28.12.2018 1.10 EUR
29.12.2017 0.86 EUR
30.12.2016 0.38 EUR
08.06.2015 4.83 EUR
07.06.2013 8.12 EUR
08.06.2012 7.12 EUR
10.06.2011 8.82 EUR