Templeton Emerging Markets Bond Fund - A (Qdis) USD
MVD-Fonds Rating | EDA |
---|---|
![]() ![]() ![]() ![]() ![]() ![]() | 75 |
ISIN: LU0029876355 | WKN: 971666
KAG: Franklin Templeton
NAV: 7,02 USD am 15.07.2025
Chart
Kennzahlen Templeton Emerging Markets Bond Fund - A (Qdis) USD
1M | 6M | 1J | 3J | 5J | 10J | Beginn | |
Performance | +1,70% | +12,25% | +11,41% | +42,04% | +4,61% | +5,31% | +718,95% |
Volatilität | +6,69% | +7,42% | +6,57% | +8,54% | +8,37% | +8,05% | +8,66% |
Sharpe Ratio | +3,24 | +3,26 | +1,43 | +1,21 | -0,14 | -0,19 | +0,50 |
Bester Monat | - | +4,48% | +4,48% | +7,91% | +7,91% | +7,91% | +11,57% |
Schl. Monat | - | -0,69% | -2,94% | -6,43% | -11,20% | -11,20% | -28,14% |
Max. Verlust | -1,37% | -5,12% | -6,20% | -13,55% | -32,49% | -41,46% | -41,46% |
Monatsperformance Templeton Emerging Markets Bond Fund - A (Qdis) USD
2025 | 2024 | 2023 | 2022 | 2021 | |
Januar | +3,73% | +0,22% | +4,96% | +1,94% | -1,55% |
Februar | 0,00% | +2,58% | -5,15% | -3,08% | -0,10% |
März | +0,45% | +1,95% | +2,41% | +0,12% | -1,61% |
April | +2,40% | -1,40% | +0,86% | -5,64% | +1,87% |
Mai | +2,98% | +0,57% | -1,04% | +0,89% | +1,65% |
Juni | +4,48% | -2,25% | +4,50% | -11,20% | -1,21% |
Juli | -0,69% | +2,00% | +3,01% | -1,33% | -1,31% |
August | - | +2,47% | -2,84% | -1,47% | +1,59% |
September | - | +2,27% | -2,78% | -6,43% | -3,77% |
Oktober | - | -2,94% | -0,68% | -0,85% | -0,81% |
November | - | -1,31% | +4,95% | +7,91% | -2,46% |
Dezember | - | -2,07% | +4,87% | +3,36% | +0,80% |
Gesamt | +14,01% | +1,87% | +13,11% | -15,88% | -6,86% |
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