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GraficoTitoliPaesiSettoriPerformance
2014201620182020202220242026

Prime posizioni

#NomePeso
1NEM0.17%
2AEM.TO0.12%
3ABX.TO0.10%
4WPM.TO0.07%
5ANG.JO0.05%
6K.TO0.04%
7GFI.JO0.04%
82899.HK0.03%
9CDE0.03%
10PAAS.TO0.03%

Ripartizione geografica

0%22%43%65%86%North AmericaAfrica/Middle EastAsia EmergingAustralasiaUnited KingdomEurope EmergingAsia Developed

Ripartizione settoriale

Basic Materials
100.0%

Performance e rischio

YTD
-5.4%
1 mese
-15.4%
3 mesi
-14.0%
6 mesi
-4.7%
1 anno
+60.6%
3 anni
+191.4%
5 anni
+118.3%
Dall'inizio
+38.6%
Rendimenti mensili (%)
AnnoGenFebMarAprMagGiuLugAgoSetOttNovDicAnno
20269.823.1-17.8-7.63.0-10.5-5.4%
202511.61.65.613.17.65.3-0.221.221.7-6.515.34.0+153.2%
2024-9.8-2.316.96.35.8-2.98.67.72.0-1.3-5.3-5.7+18.2%
20236.1-6.313.43.6-6.9-4.0-1.9-1.8-7.711.78.4-2.0+10.1%
2022-5.317.76.6-11.6-7.3-14.8-10.4-8.72.70.721.7-3.0-17.2%
2021-4.1-9.89.71.113.7-12.81.6-4.3-11.97.3-1.34.9-9.6%
2020-0.8-8.0-5.135.0-0.47.119.3-4.1-5.3-3.4-6.42.1+24.8%
20196.4-2.93.0-9.06.320.27.89.1-6.31.9-4.28.8+44.8%
2018-1.6-6.42.32.9-2.4-1.4-5.0-13.6-0.75.9-2.411.9-12.2%
201717.9-8.72.8-3.5-0.1-3.62.811.4-7.4-4.30.94.2+9.7%
20168.940.23.329.0-3.214.73.7-11.1-2.6-4.8-16.1-3.6+56.3%
201519.1-3.5-11.66.7-4.4-10.4-22.4-4.47.23.9-1.2-5.4-28.2%
20146.110.1-5.6-0.4-7.115.4-0.31.5-21.9-18.26.10.4-18.8%
2013-5.3-11.90.9-22.4-1.5-18.44.811.5-12.10.4-8.7-0.1-50.7%
2012-1.9-10.6-10.64.6-6.1-4.29.512.2-7.6-4.8-4.7-24.1%
Rendimenti di prezzo in valuta del fondo, da chiusure settimanali (≈ fine mese). Indicativi.