RT VIF Versicherung International Fonds EUR (T)
MVD-Fonds Rating | EDA |
---|---|
79 |
ISIN: AT0000858956 | WKN: 85895
KAG: Erste AM
NAV: 210,15 EUR am 03.10.2024
Chart
Kennzahlen RT VIF Versicherung International Fonds EUR (T)
1M | 6M | 1J | 3J | 5J | 10J | Beginn | |
Performance | +2,00% | +10,98% | +32,00% | +55,61% | +73,90% | +180,41% | +205,36% |
Volatilität | +8,25% | +11,74% | +10,87% | +12,14% | +18,02% | +16,35% | +18,37% |
Sharpe Ratio | +2,92 | +1,69 | +2,64 | +1,04 | +0,47 | +0,47 | +0,06 |
Bester Monat | - | +3,60% | +6,60% | +6,60% | +16,53% | +16,53% | +16,53% |
Schl. Monat | - | -3,28% | -3,28% | -6,83% | -21,76% | -21,76% | -21,76% |
Max. Verlust | -1,77% | -7,01% | -7,01% | -10,16% | -41,51% | -41,51% | -64,65% |
Monatsperformance RT VIF Versicherung International Fonds EUR (T)
2024 | 2023 | 2022 | 2021 | 2020 | |
Januar | +6,60% | +2,09% | +2,38% | -0,32% | +1,23% |
Februar | +4,13% | +0,30% | -1,69% | +6,03% | -7,06% |
März | +4,45% | -6,83% | +5,78% | +6,82% | -21,76% |
April | -3,28% | +3,25% | -0,70% | +0,39% | +9,31% |
Mai | +2,73% | -0,44% | -1,87% | +2,01% | -1,49% |
Juni | +1,77% | +1,49% | -3,53% | -2,24% | +1,11% |
Juli | +3,60% | +1,17% | +1,55% | +0,19% | -0,69% |
August | +2,95% | -0,45% | +2,04% | +4,37% | +4,29% |
September | +1,61% | +3,03% | -4,55% | -1,03% | -5,11% |
Oktober | +0,95% | -1,19% | +6,13% | +4,13% | -2,49% |
November | - | +2,49% | +4,08% | -1,15% | +16,53% |
Dezember | - | +0,13% | -0,18% | +3,31% | 0,00% |
Gesamt | +28,26% | +4,73% | +9,15% | +24,39% | -10,50% |