Nordea 1 - Emerging Market Select Local Bond Fund - BP - EUR
| MVD-Fonds Rating | EDA |
|---|---|
![]() ![]() ![]() ![]() ![]() ![]() | 76 |
ISIN: LU1160612104 | WKN: A142YP
KAG: Nordea Inv. Funds
NAV: 105,67 EUR am 13.11.2025
Chart
Kennzahlen Nordea 1 - Emerging Market Select Local Bond Fund - BP - EUR
| 1M | 6M | 1J | 3J | 5J | 10J | Beginn | |
| Performance | +2,10% | +5,15% | +4,51% | +12,33% | +3,92% | - | +10,58% |
| Volatilität | +3,50% | +3,70% | +5,86% | +5,54% | +5,96% | - | +6,60% |
| Sharpe Ratio | +7,35 | +2,28 | +0,42 | +0,35 | -0,21 | - | -0,14 |
| Bester Monat | - | +2,12% | +2,12% | +2,65% | +3,15% | - | +4,99% |
| Schl. Monat | - | -0,64% | -2,89% | -2,89% | -3,25% | - | -11,02% |
| Max. Verlust | -0,26% | -1,24% | -7,49% | -7,49% | -11,44% | - | -18,88% |
Monatsperformance Nordea 1 - Emerging Market Select Local Bond Fund - BP - EUR
| 2025 | 2024 | 2023 | 2022 | 2021 | |
| Januar | +1,85% | -0,11% | +2,39% | +1,37% | -0,12% |
| Februar | +0,78% | -0,49% | -1,00% | -2,83% | -1,84% |
| März | -2,89% | -0,24% | +1,48% | -2,01% | -0,83% |
| April | -1,67% | -1,12% | -0,08% | -0,58% | +0,05% |
| Mai | +1,91% | -0,20% | +1,29% | -0,17% | +1,02% |
| Juni | -0,64% | -0,45% | +1,00% | -1,81% | +1,12% |
| Juli | +1,19% | +0,43% | +1,72% | +2,10% | -0,37% |
| August | +0,31% | +0,38% | -1,38% | +1,39% | +0,50% |
| September | +1,14% | +2,01% | -1,55% | -3,25% | -0,87% |
| Oktober | +2,12% | -1,94% | -0,36% | -2,23% | -1,33% |
| November | +1,00% | +1,77% | +2,18% | +2,65% | -0,12% |
| Dezember | - | -0,92% | +2,12% | -1,42% | +1,30% |
| Gesamt | +5,09% | -0,94% | +7,97% | -6,79% | -1,53% |
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