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GraficoTitoliPaesiSettoriPerformance
20122014201620182020202220242026

Prime posizioni

#NomePeso
1WPM0.22%
2PAAS0.13%
3CDE0.11%
4AG.TO0.05%
5PE&OLES.MX0.05%
6FRES.L0.05%
7HL0.05%
8OR.TO0.04%
9BVN0.04%
10SSRM0.04%

Ripartizione geografica

0%22%44%66%88%North AmericaLatin AmericaAsia DevelopedUnited KingdomAustralasiaEurope Developed

Ripartizione settoriale

Basic Materials
99.9%
Consumer Defensive
0.1%

Performance e rischio

YTD
-1.6%
1 mese
-16.0%
3 mesi
-13.4%
6 mesi
-1.0%
1 anno
+68.9%
3 anni
+199.2%
5 anni
+69.8%
Dall'inizio
+79.1%
Rendimenti mensili (%)
AnnoGenFebMarAprMagGiuLugAgoSetOttNovDicAnno
202613.625.2-21.5-4.35.7-12.9-1.6%
20255.60.40.012.310.613.8-3.122.122.1-6.216.76.9+153.3%
2024-9.8-7.215.612.712.0-10.11.63.39.36.6-4.7-9.8+15.5%
20233.3-4.610.6-2.7-8.0-5.50.7-0.2-8.55.312.60.1+0.7%
2022-11.312.12.6-12.2-3.4-16.5-0.5-12.34.27.314.1-4.5-23.2%
2021-4.0-4.4-1.30.916.1-10.8-2.4-2.1-15.311.1-7.92.6-19.6%
2020-4.9-12.4-12.634.413.10.133.5-1.0-9.1-2.8-0.58.4+39.6%
20193.4-3.21.5-9.8-3.216.33.111.7-6.56.1-3.010.1+25.7%
2018-5.5-2.92.60.5-1.0-5.4-5.7-9.4-1.8-0.5-4.412.8-20.3%
201722.0-10.22.4-3.10.8-3.5-3.67.4-6.1-5.0-0.85.1+1.7%
2016-2.737.57.138.3-0.225.510.7-8.5-4.4-7.4-12.6-10.8+73.5%
20158.8-4.8-11.53.31.4-6.0-20.8-4.87.21.2-2.2-8.8-34.2%
20143.716.0-7.7-2.7-9.226.3-2.7-1.7-27.4-13.15.32.6-19.2%
2013-6.4-13.6-0.4-18.1-3.5-18.310.917.9-17.5-1.1-6.8-0.3-48.4%
201218.4-0.2-15.5-11.4-1.71.3-1.517.016.1-2.1-6.1-1.7+6.6%
2011-12.219.08.9-19.9-6.68.4-2.213.9-22.013.3-7.2-7.8-22.2%
20103.70.62.211.714.218.214.04.0+90.7%
Rendimenti di prezzo in valuta del fondo, da chiusure settimanali (≈ fine mese). Indicativi.