NAV23/01/2025 Chg.-31.0000 Type de rendement Focus sur l'investissement Société de fonds
7,676.0000JPY -0.40% reinvestment Equity Mixed Sectors BNP PARIBAS AM (LU) 
 

Performance mensuelle

  janv. févr. mars avr. mai juin juil. août sept. oct. nov. déc. Total
2001 - -6.39 1.37 8.96 -3.47 -2.23 -9.86 -9.75 -8.18 6.62 2.42 -2.49 -20.53%
2002 -7.53 5.15 9.16 1.22 5.32 -9.48 -5.85 -2.96 -2.13 -8.32 3.44 -5.59 -18.00%
2003 -3.63 -1.01 -5.97 -0.25 8.50 10.77 4.88 9.60 0.85 3.88 -3.41 4.16 +30.27%
2004 1.38 2.84 8.88 -0.35 -2.77 4.65 -4.80 -1.05 -1.25 -2.47 1.10 4.03 +9.84%
2005 -0.71 2.80 0.44 -3.98 1.33 3.12 1.91 4.50 11.09 -0.02 8.95 5.95 +40.43%
2006 3.11 -2.21 5.51 0.18 -7.66 -0.95 0.11 3.94 -1.54 0.63 -1.17 5.26 +4.55%
2007 3.19 1.71 -2.19 -0.23 2.09 2.13 -3.52 -5.59 1.94 1.03 -7.03 -3.96 -10.56%
2008 -12.44 -1.75 -9.69 15.27 3.72 -8.67 -4.56 -3.77 -15.08 -25.17 -4.07 2.81 -51.17%
2009 -8.45 -4.86 6.56 8.23 10.98 3.26 1.60 0.31 -7.17 -1.01 -5.68 9.72 +11.56%
2010 0.29 -0.29 10.87 0.96 -10.95 -5.73 0.58 -6.58 4.27 -1.23 5.11 3.60 -0.99%
2011 0.22 3.10 -4.08 -1.75 -1.48 0.50 -1.15 -9.54 -1.54 -0.22 -6.11 0.05 -20.44%
2012 1.53 10.89 1.24 -5.99 -11.45 8.52 -4.29 -0.94 3.71 0.00 5.74 10.42 +18.22%
2013 10.97 4.36 5.33 10.63 -5.07 5.68 2.15 -3.67 8.23 -0.82 8.14 3.33 +59.79%
2014 -8.14 1.31 -2.48 -4.47 3.43 4.25 1.29 -1.82 2.86 -0.23 6.47 -0.68 +0.89%
2015 -1.51 9.48 0.93 4.39 4.49 -3.88 2.03 -7.21 -8.26 10.31 1.67 -3.14 +7.66%
2016 -8.27 -11.93 4.96 -1.31 2.52 -8.45 3.78 -0.81 0.28 4.66 4.96 3.48 -7.81%
2017 0.66 0.83 -0.65 0.73 2.56 2.17 0.25 1.17 4.21 5.77 1.30 2.55 +23.61%
2018 1.03 -3.78 -3.84 3.64 -1.37 -1.79 -0.21 -2.04 4.81 -11.29 -0.16 -10.81 -24.05%
2019 6.05 1.09 -0.34 1.64 -6.17 3.13 1.52 -3.34 4.14 2.90 4.38 1.29 +16.83%
2020 -2.17 -11.70 -9.75 4.83 9.95 1.25 -1.31 6.31 2.51 -4.05 11.81 2.54 +7.64%
2021 0.89 2.99 4.91 -2.31 0.35 1.81 -1.78 0.76 5.32 -0.48 -4.06 2.79 +11.30%
2022 -4.66 -0.22 4.13 -0.81 0.48 -4.39 2.95 1.12 -4.83 5.56 3.28 -4.71 -2.86%
2023 4.25 1.16 2.08 1.79 3.09 7.74 1.82 1.23 0.18 -1.90 3.47 -0.63 +26.76%
2024 7.79 3.38 3.05 -0.77 0.99 2.92 -3.96 -0.75 -2.09 -1.61 4.23 2.38 -
2025 0.43 - - - - - - - - - - - -

Valeurs calculées

  CAD 6 Mois 1 An 3 Ans 5 Ans
Volatilité 12.31% 25.51% 20.52% 17.24% 18.02%
Ratio de Sharpe 0.36 -0.17 0.29 0.69 0.47
Le meilleur mois +2.38% +4.23% +7.79% +7.79% +11.81%
Le plus défavorable mois +0.43% -3.96% -3.96% -4.83% -11.70%
Perte maximale -3.94% -19.30% -22.46% -22.46% -32.50%
Surperformance +3.77% - +3.03% -6.43% -18.88%
 
Toutes les cotations dans JPY

Tranches

Nom   Type de rendement Prix de rachat 1 An 3 Ans
BNP Paribas Funds Japan Equity I... reinvestment 296.0600 +15.47% +77.78%
BNPP F.Japan Eq.P.JPY paying dividend 24,724.0000 +10.33% +57.85%
BNP Paribas Funds Japan Equity I... reinvestment 8,022.0000 +10.45% +58.38%
BNP Paribas Funds Japan Equity N... reinvestment 7,676.0000 +8.53% +50.24%
BNP Paribas Funds Japan Equity C... reinvestment 159.2800 +12.42% +62.41%
BNP Paribas Funds Japan Equity P... reinvestment 215,432.0000 +10.33% +57.85%
BNPP F.Japan Eq.C.EUR reinvestment 57.1400 +8.30% +21.91%
BNPP F.Japan Eq.C.USD reinvestment 59.4200 +3.95% +12.09%
BNPP F.Japan Eq.Pr.EUR H reinvestment 234.6100 +13.45% +66.53%
BNP Paribas Funds Japan Equity C... reinvestment 248.0100 +14.20% +72.13%
BNP Paribas Funds Japan Equity C... paying dividend 5,888.0000 +9.33% +53.65%
BNP Paribas Funds Japan Equity C... reinvestment 9,279.0000 +9.33% +53.65%

Performance

CAD  
+0.43%
6 Mois
  -0.85%
1 An  
+8.53%
3 Ans  
+50.24%
5 Ans  
+69.94%
Depuis le début  
+87.40%
Année
2023  
+26.76%
2022
  -2.86%
2021  
+11.30%
2020  
+7.64%
2019  
+16.83%
2018
  -24.05%
2017  
+23.61%
2016
  -7.81%