Allspring (Lux) Worldwide Fund - Emerging Markets Equity Income Fund Class A (USD) Shares - acc./  LU1366334578  /

Fonds
NAV1/7/2025 Chg.-0.5000 Type of yield Investment Focus Investment company
104.0400USD -0.48% paying dividend Equity Emerging Markets Allspring Gl.Inv. 
  • Dividends adjusted Dividends adjusted

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2021 - 2.76 0.10 0.57 2.56 -0.43 -3.99 2.45 -3.78 0.76 -4.43 3.94 -4.31%
2022 1.06 -3.47 -1.56 -6.26 1.66 -8.09 0.15 -1.11 -7.78 -4.89 13.80 -2.92 -19.30%
2023 8.43 -6.81 2.54 -0.27 -2.65 4.11 5.27 -6.47 -1.88 -3.64 7.71 6.37 +11.70%
2024 -1.67 4.76 2.06 1.00 2.10 3.28 0.82 1.30 5.28 -5.38 -2.78 -0.07 -
2025 -0.42 - - - - - - - - - - - -
Single months: Dividends not considered

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 4.52% 14.10% 13.26% 14.82% -%
Sharpe ratio -5.01 -0.69 0.70 -0.22 -
Best month -0.07% +5.28% +5.28% +13.80% -
Worst month -0.42% -5.38% -5.38% -8.09% -
Maximum loss -0.54% -9.90% -9.90% -29.99% -
Outperformance - - - - -
 
All quotes in USD

Tranches

Name   Type of yield Repurchase p. 1 Year 3 Years
Allspring (Lux) Worldwide Fund -... paying dividend 171.2800 +21.67% +14.70%
Allspring (Lux) Worldwide Fund -... paying dividend 90.1900 +15.48% +8.99%
Allspring (Lux) Worldwide Fund -... paying dividend 130.1900 +12.84% -0.53%
Allspring (Lux) Worldwide Fund -... paying dividend 89.6600 +13.03% +0.08%
Allspring (Lux) Worldwide Fund -... reinvestment 114.4000 +15.31% +8.37%
Allspring (Lux) Worldwide Fund -... paying dividend 95.8000 +19.72% +9.90%
Allspring (Lux) Worldwide Fund -... paying dividend 104.0400 +11.95% -1.52%
Allspring (Lux) Worldwide Fund -... reinvestment 161.8600 +12.83% -0.53%
Allspring (Lux) Worldwide Fund -... reinvestment 156.7100 +19.51% +9.25%
Allspring (Lux) Worldwide Fund -... reinvestment 146.9300 +11.96% -2.80%

Performance

YTD
  -0.42%
6 Months
  -3.54%
1 Year  
+11.95%
3 Years
  -1.52%
5 Years     -
Since start
  -4.95%
Year
2023  
+11.70%
2022
  -19.30%
2021
  -4.31%
 

Dividends

2/1/2021 0.28 USD
3/1/2021 0.15 USD
4/1/2021 0.25 USD
5/3/2021 0.32 USD
6/1/2021 0.42 USD
7/1/2021 1.08 USD
8/2/2021 0.62 USD
9/1/2021 0.31 USD
10/1/2021 0.57 USD
11/2/2021 0.22 USD
12/1/2021 0.82 USD
1/3/2022 0.49 USD
2/1/2022 0.03 USD
3/1/2022 0.29 USD
4/1/2022 0.32 USD
5/2/2022 0.39 USD
6/1/2022 0.41 USD
7/1/2022 1.08 USD
8/1/2022 0.40 USD
9/1/2022 0.37 USD
10/3/2022 0.33 USD
11/2/2022 0.18 USD
12/1/2022 0.22 USD
1/3/2023 0.46 USD
2/1/2023 0.00 USD
3/1/2023 0.06 USD
4/3/2023 0.35 USD
5/2/2023 0.33 USD
6/1/2023 0.32 USD
7/3/2023 0.84 USD
8/1/2023 0.66 USD
9/1/2023 0.21 USD
10/2/2023 0.36 USD
11/2/2023 0.11 USD
12/1/2023 0.20 USD
1/2/2024 0.23 USD
2/1/2024 0.03 USD
3/1/2024 0.23 USD
4/2/2024 0.45 USD
5/2/2024 0.33 USD
6/3/2024 0.49 USD
7/1/2024 0.62 USD
8/1/2024 0.56 USD
9/3/2024 0.27 USD
10/1/2024 0.38 USD
11/4/2024 0.13 USD
12/2/2024 0.19 USD
1/2/2025 0.28 USD