Allianz Adifonds A EUR
ISIN: DE0008471038
Fondskategorie: Aktienfonds Europa
Wertentwicklung
Jährliche Wertentwicklung
Fonds | Kategorie | |
---|---|---|
Q2 / 2024 (12 Monate) | 12,08% | 8,45% |
Q2 / 2023 (12 Monate) | 17,03% | 17,92% |
Q2 / 2022 (12 Monate) | -25,74% | -20,40% |
Q2 / 2021 (12 Monate) | 25,01% | 27,44% |
Q2 / 2020 (12 Monate) | 3,57% | -3,60% |
Q2 / 2019 (12 Monate) | -6,84% | -2,45% |
Q2 / 2018 (12 Monate) | 2,28% | 0,40% |
Q2 / 2017 (12 Monate) | 27,54% | 25,43% |
Q2 / 2016 (12 Monate) | -9,76% | -11,03% |
Q2 / 2015 (12 Monate) | 15,93% | 12,50% |
Q2 / 2014 (12 Monate) | 18,92% | 22,13% |
Rollierende Wertentwicklung
Periode (Stand: 05.07.2024) | Fonds | Kategorie | |
---|---|---|---|
laufendes Jahr | YTD | 7,63% | -0,61% |
1 Monat | 1M | 1,03% | 1,26% |
3 Monate | 3M | 4,24% | 8,98% |
6 Monate | 6M | 11,17% | 11,02% |
1 Jahr | 1J | 14,55% | 0,87% |
3 Jahre | 3J | -0,55% | 4,45% |
5 Jahre | 5J | 4,59% | 4,53% |
10 Jahre | 10J | 4,76% |