F.MSCI Ch.Par.Al.Cl.UE
MVD-Fonds Rating | EDA |
---|---|
- |
ISIN: IE000EBPC0Z7 | WKN: A3DJVV
KAG: Franklin Templeton
NAV: 22,38 USD am 10.10.2024
Monatsperformance F.MSCI Ch.Par.Al.Cl.UE
2024 | 2023 | 2022 | |||
Januar | -12,47% | +12,43% | - | ||
Februar | +8,37% | -10,65% | - | ||
März | -0,81% | +4,14% | - | ||
April | +4,71% | -6,61% | - | ||
Mai | +0,11% | -8,51% | - | ||
Juni | -3,77% | +2,43% | - | ||
Juli | +1,27% | +10,32% | -8,73% | ||
August | +0,57% | -9,04% | -1,45% | ||
September | +26,81% | -4,13% | -15,05% | ||
Oktober | -0,18% | -4,98% | -14,92% | ||
November | - | +2,00% | +25,24% | ||
Dezember | - | -3,18% | +5,43% | ||
Gesamt | +22,36% | -17,35% | -14,16% |
Performanceverteilung in Monats-Bausteinen
10/24 | 8/24 | |||||||||
6/24 | 7/24 | |||||||||
3/24 | 5/24 | |||||||||
8/23 | 12/23 | 4/24 | ||||||||
1/24 | 5/23 | 10/23 | 11/23 | |||||||
2/23 | 4/23 | 9/23 | 6/23 | 2/24 | 7/23 | 9/24 | ||||
9/22 | 10/22 | 7/22 | 8/22 | 3/23 | 12/22 | 1/23 | 11/22 | |||
-20% | -15% | -10% | -5% | 0% | 0% | 5% | 10% | 15% | 20% |