GAM Star Global Flexible U Acc - GBP/  IE00BYQ0F959  /

Fonds
NAV1/8/2025 Chg.+0.1491 Type of yield Investment Focus Investment company
16.5224GBP +0.91% reinvestment Mixed Fund Worldwide GAM Fund Management 
 

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2018 - - - - - - - - - - 0.95 -3.92 -
2019 3.58 1.51 1.52 2.90 -2.34 3.23 2.37 -2.31 1.05 -0.58 1.21 1.59 +14.37%
2020 -0.62 -3.76 -10.11 7.06 5.09 2.82 -0.26 3.13 0.77 -0.51 6.91 1.95 +11.79%
2021 -0.27 0.09 1.01 2.23 -0.64 2.44 -0.92 2.46 -1.53 0.95 -0.15 -0.10 +5.62%
2022 -6.08 -1.94 0.93 -2.78 -1.58 -3.62 3.70 -0.04 -3.68 0.01 2.41 -1.83 -13.96%
2023 3.40 -1.07 -0.06 -0.56 0.10 0.73 1.92 -1.16 -0.98 -1.74 3.50 2.68 +6.75%
2024 -0.12 2.64 2.30 -0.93 0.12 2.25 0.15 -0.17 0.64 1.73 2.86 0.07 -
2025 1.56 - - - - - - - - - - - -

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 8.30% 6.62% 5.66% 6.84% 7.71%
Sharpe ratio 12.08 1.64 2.21 -0.06 0.19
Best month +1.56% +2.86% +2.86% +3.70% +7.06%
Worst month +0.07% -0.17% -0.93% -6.08% -10.11%
Maximum loss -0.49% -3.74% -3.74% -13.54% -18.01%
Outperformance - - - - -
 
All quotes in GBP

Tranches

Name   Type of yield Repurchase p. 1 Year 3 Years
GAM Star Global Flexible Selling... reinvestment 12.7836 +9.99% -5.02%
GAM Star Global Flexible Selling... reinvestment 17.7488 +14.48% +5.96%
GAM Star Global Flexible Selling... reinvestment 16.8172 +14.33% +4.68%
GAM Star Global Flexible Selling... reinvestment 14.9593 +12.64% -0.22%
GAM Star Global Flexible Z Acc H... reinvestment 13.3940 - -
GAM Star Global Flexible Institu... reinvestment 13.8287 +15.11% -
GAM Star Global Flexible Selling... reinvestment 15.6681 +14.24% +4.42%
GAM Star Global Flexible Selling... reinvestment 12.3271 +10.83% -2.77%
GAM Star Global Flexible Selling... reinvestment 14.3493 +13.57% +2.10%
GAM Star Global Flexible Ordinar... reinvestment 14.1805 +13.99% +3.27%
GAM Star Global Flexible U Acc H... reinvestment 14.7335 +13.65% +2.37%
GAM Star Global Flexible Selling... reinvestment 10.7112 +10.36% -4.22%
GAM Star Global Flexible Selling... reinvestment 11.4189 +13.11% +0.83%
GAM Star Global Flexible Selling... reinvestment 12.1889 +13.09% +0.81%
GAM Star Global Flexible Selling... reinvestment 15.6251 +15.19% +7.06%
GAM Star Global Flexible Selling... reinvestment 13.3598 +14.67% +5.67%
GAM Star Global Flexible Selling... reinvestment 13.8778 +14.72% +5.72%
GAM Star Global Flexible Ordinar... reinvestment 16.7609 +15.62% +8.27%
GAM Star Global Flexible Ordinar... paying dividend 16.6565 +15.54% +7.69%
GAM Star Global Flexible Institu... reinvestment 20.3935 +16.12% +9.61%
GAM Star Global Flexible Institu... paying dividend 19.5892 +15.58% +7.69%
GAM Star Global Flexible PI Acc ... reinvestment 15.1380 +15.92% +9.07%
GAM Star Global Flexible U Acc -... reinvestment 16.5224 +15.28% +7.36%
GAM Star Global Flexible Institu... reinvestment 12.4623 +14.49% +4.54%
GAM Star Global Flexible Selling... reinvestment 1,252.6300 +8.66% -7.06%
GAM Star Global Flexible Institu... reinvestment 14.4074 +14.32% +6.95%
GAM Star Global Flexible Selling... reinvestment 15.6345 +15.19% +7.06%
GAM Star Global Flexible Selling... reinvestment 19.6131 +15.34% +8.36%
GAM Star Global Flexible Selling... reinvestment 16.8800 +15.33% +8.35%
GAM Star Global Flexible Selling... reinvestment 14.4705 +14.87% +7.01%
GAM Star Global Flexible Selling... reinvestment 13.9534 +14.87% +6.99%
GAM Star Global Flexible Institu... reinvestment 21.0161 +16.27% +10.95%
GAM Star Global Flexible PI Acc ... reinvestment 14.1036 +16.07% +10.41%
GAM Star Global Flexible U Acc H... reinvestment 16.6070 +15.42% +8.65%
GAM Star Global Flexible Z Acc H... reinvestment 15.1536 +14.59% +4.80%
GAM Star Global Flexible Z Acc -... reinvestment 18.3606 +16.35% +10.25%
GAM Star Global Flexible Ordinar... reinvestment 16.3621 +15.57% +8.14%
GAM Star Global Flexible Ordinar... reinvestment 17.4671 +15.71% +9.45%

Performance

YTD  
+1.56%
6 Months  
+6.65%
1 Year  
+15.28%
3 Years  
+7.36%
5 Years  
+22.94%
Since start  
+28.92%
Year
2023  
+6.75%
2022
  -13.96%
2021  
+5.62%
2020  
+11.79%
2019  
+14.37%