Franklin Intelligent Machines Fund - N (acc) EUR
MVD-Fonds Rating | EDA |
---|---|
![]() ![]() ![]() ![]() ![]() ![]() | 81 |
ISIN: LU2387455517 | WKN: A3C4VF
KAG: Franklin Templeton
NAV: 13,56 EUR am 10.07.2025
Monatsperformance Franklin Intelligent Machines Fund - N (acc) EUR
2025 | 2024 | 2023 | 2022 | 2021 | |
Januar | +2,15% | +4,10% | +9,90% | -13,96% | - |
Februar | -8,91% | +8,43% | +4,03% | -3,48% | - |
März | -13,25% | +2,51% | +4,56% | +5,13% | - |
April | +1,33% | -3,54% | -5,88% | -11,42% | - |
Mai | +12,01% | +4,98% | +11,92% | -3,63% | - |
Juni | +4,54% | +7,08% | +3,72% | -8,52% | - |
Juli | +1,50% | -4,67% | +0,40% | +20,21% | - |
August | - | -0,49% | -2,58% | -5,86% | - |
September | - | +1,15% | -4,99% | -7,76% | - |
Oktober | - | +0,24% | -5,58% | +6,24% | - |
November | - | +10,75% | +10,45% | +4,56% | +2,56% |
Dezember | - | +1,82% | +5,45% | -11,93% | -1,52% |
Gesamt | -2,79% | +36,08% | +33,48% | -30,38% | +1,00% |
Performanceverteilung in Monats-Bausteinen
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2/25 | 4/24 | 7/23 | 6/24 | |||||||
10/23 | 9/23 | 6/23 | 2/24 | |||||||
3/25 | 4/23 | 8/23 | 3/23 | 12/23 | 5/25 | |||||
12/22 | 9/22 | 5/22 | 2/23 | 1/23 | 11/24 | |||||
4/22 | 8/22 | 2/22 | 11/22 | 10/22 | 11/23 | |||||
1/22 | 6/22 | 12/21 | 11/21 | 3/22 | 5/23 | 7/22 | ||||
-20% | -15% | -10% | -5% | 0% | 0% | 5% | 10% | 15% | 20% |