Aviva Investors - Emerging Markets Bond Fund - B USD
MVD-Fonds Rating | EDA |
---|---|
![]() ![]() ![]() ![]() ![]() ![]() | 73 |
ISIN: LU0180621863 | WKN: A0MJ7S
KAG: Aviva Investors (LU)
NAV: 13,34 USD am 18.06.2025
Chart
Kennzahlen Aviva Investors - Emerging Markets Bond Fund - B USD
1M | 6M | 1J | 3J | 5J | 10J | Beginn | |
Performance | +1,05% | +2,92% | +8,14% | +21,52% | +5,38% | +29,69% | +166,83% |
Volatilität | +3,97% | +5,35% | +4,78% | +6,70% | +6,52% | +6,72% | +6,11% |
Sharpe Ratio | +2,89 | +0,73 | +1,28 | +0,70 | -0,15 | +0,09 | +0,43 |
Bester Monat | - | +1,68% | +2,57% | +7,12% | +7,12% | +7,51% | +8,35% |
Schl. Monat | - | -1,59% | -1,59% | -6,98% | -6,98% | -15,02% | -15,02% |
Max. Verlust | -0,56% | -4,21% | -4,21% | -12,80% | -27,96% | -27,96% | -27,96% |
Monatsperformance Aviva Investors - Emerging Markets Bond Fund - B USD
2025 | 2024 | 2023 | 2022 | 2021 | |
Januar | +1,68% | -0,85% | +3,42% | -2,97% | -1,08% |
Februar | +1,34% | +0,27% | -2,67% | -6,11% | -2,32% |
März | -0,98% | +2,35% | +1,68% | +0,56% | -1,29% |
April | +0,29% | -2,48% | +0,29% | -5,46% | +1,70% |
Mai | +0,51% | +1,78% | -0,52% | +0,71% | +0,89% |
Juni | +0,96% | +0,61% | +1,71% | -6,98% | +0,74% |
Juli | - | +1,78% | +1,71% | +2,98% | +0,31% |
August | - | +2,57% | -2,04% | -0,97% | +0,99% |
September | - | +1,88% | -2,65% | -6,35% | -2,28% |
Oktober | - | -1,51% | -1,56% | +0,49% | -0,24% |
November | - | +1,15% | +5,51% | +7,12% | -2,20% |
Dezember | - | -1,59% | +4,04% | +0,29% | +1,08% |
Gesamt | +3,84% | +5,95% | +8,86% | -16,34% | -3,75% |
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