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GraficoTitoliPaesiSettoriPerformance
20122014201620182020202220242026

Prime posizioni

#NomePeso
1CCO.TO0.23%
2OKLO0.07%
3NXE.TO0.06%
4UEC0.05%
5KAP.IL0.05%
6028260.KS0.04%
7EFR.TO0.04%
8PDN.AX0.03%
9000720.KS0.03%

Ripartizione geografica

0%17%35%52%70%North AmericaAsia DevelopedAustralasiaAsia EmergingJapanUnited KingdomAfrica/Middle East

Ripartizione settoriale

Energy
64.9%
Industrials
22.2%
Utilities
7.3%
Basic Materials
4.8%
Technology
0.9%

Performance e rischio

YTD
-1.2%
1 mese
-17.5%
3 mesi
-7.6%
6 mesi
-1.2%
1 anno
+35.3%
3 anni
+107.9%
5 anni
+93.9%
Dall'inizio
-55.9%
Rendimenti mensili (%)
AnnoGenFebMarAprMagGiuLugAgoSetOttNovDicAnno
202619.4-1.2-10.014.2-9.1-10.3-1.2%
2025-1.8-12.4-16.024.123.918.40.86.422.011.1-17.91.7+59.7%
202413.8-10.21.96.94.6-10.2-15.35.617.10.85.9-10.9+4.2%
202310.4-2.2-8.00.46.51.82.89.011.2-0.17.2-4.3+37.9%
2022-10.113.512.0-11.0-4.5-14.113.52.8-10.62.13.8-4.4-12.0%
2021-5.320.512.10.018.8-8.4-6.219.61.510.6-10.7-4.9+48.9%
2020-8.2-4.1-9.320.95.3-2.25.14.3-9.6-0.522.515.8+39.2%
20195.3-2.51.6-2.7-4.95.1-12.1-0.73.20.3-1.41.8-8.1%
2018-10.0-2.6-8.614.4-3.3-3.73.0-4.14.6-6.40.6-4.5-20.4%
201727.3-2.4-3.9-14.3-3.33.67.4-1.1-4.9-8.917.75.5+16.9%
2016-8.84.79.83.2-4.6-1.0-3.00.7-6.6-9.47.31.6-8.0%
2015-11.59.0-6.512.8-5.7-16.2-11.1-6.9-6.74.5-7.42.0-38.8%
20144.814.1-3.3-11.9-2.1-0.9-2.34.1-18.5-6.911.9-11.2-24.2%
20136.3-8.6-1.1-13.58.7-8.46.2-7.6-7.7-4.44.30.5-24.9%
201228.30.1-10.2-8.1-19.87.6-4.86.21.5-11.2-10.39.9-17.9%
20117.3-4.8-28.1-4.9-9.0-7.15.7-18.9-23.623.8-9.3-8.2-60.2%
201016.32.3+18.9%
Rendimenti di prezzo in valuta del fondo, da chiusure settimanali (≈ fine mese). Indicativi.