NAV2024-04-26 Chg.+0.1100 Type of yield Investment Focus Investment company
8.0600EUR +1.38% paying dividend Equity Worldwide BlackRock (LU) 
  • Dividends adjusted Dividends adjusted

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2019 - - - - - - - - 2.72 -1.82 2.79 2.91 -
2020 -6.01 -12.78 -15.37 15.25 1.79 0.47 0.66 2.41 -5.09 -4.78 20.10 2.41 -6.31%
2021 2.74 8.95 5.60 2.34 3.10 0.86 -1.42 -1.60 3.69 6.53 -1.35 5.09 +39.75%
2022 5.82 5.64 12.13 1.87 3.33 -16.03 5.20 4.06 -4.88 11.50 2.20 -5.75 +23.90%
2023 3.15 -1.88 -4.82 -0.51 -6.62 3.39 5.86 -1.13 2.89 -6.86 0.67 1.30 -5.35%
2024 -3.04 -2.05 8.81 4.00 - - - - - - - - -
Single months: Dividends not considered

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 13.69% 13.44% 14.50% 21.31% -%
Sharpe ratio 1.59 0.96 0.20 0.46 -
Best month +8.81% +8.81% +8.81% +12.13% +20.10%
Worst month -3.04% -6.86% -6.86% -16.03% -16.03%
Maximum loss -7.34% -7.34% -11.96% -21.09% -
Outperformance +0.53% - -2.06% - -
 
All quotes in EUR

Tranches

Name   Type of yield Repurchase p. 1 Year 3 Years
BGF Nat.Resou.F.E2 EUR reinvestment 11.8200 +6.30% +45.03%
BGF Nat.Resou.F.A5G EUR paying dividend 8.0600 +6.81% +47.29%
BGF Nat.Resou.F.A3G USD paying dividend 14.4900 +3.27% +30.69%
BGF Nat.Resou.F.I4G USD paying dividend 13.3900 +4.29% +34.68%
BGF Nat.Resou.F.S5G EUR paying dividend 10.2000 +7.69% -
BGF Nat.Resou.F.S5G USD paying dividend 10.9200 +4.03% -
BGF Nat.Resou.F.S2 GBP reinvestment 9.1600 +3.97% -
BGF Nat.Resou.F.S2 GBP H reinvestment 10.3300 +3.30% -
BGF Nat.Resou.F.S3G GBP H paying dividend 10.0100 +3.29% -
BGF Nat.Resou.F.S3G GBP paying dividend 10.0800 +4.00% -
BGF Nat.Resou.F.D2 EUR H reinvestment 14.1000 +1.73% +24.01%
BGF Nat.Resou.F.S2 EUR reinvestment 10.6900 +7.65% -
BGF Nat.Resou.F.S2 USD reinvestment 11.4500 +4.09% -
BGF Nat.Resou.F.D2 EUR reinvestment 10.4500 +7.73% -
BGF Nat.Resou.F.A5G USD paying dividend 8.6300 +3.25% +30.70%
BGF Nat.Resou.F.E5G EUR H paying dividend 6.6400 +0.50% +19.46%
BGF Nat.Resou.F.A2 USD reinvestment 13.4800 +3.22% +30.62%
BGF Nat.Resou.F.A2 EUR H reinvestment 13.5400 +1.04% +21.33%
BGF Nat.Resou.F.A4G USD paying dividend 9.0800 +3.29% +30.73%

Performance

YTD  
+7.48%
6 Months  
+8.01%
1 Year  
+6.81%
3 Years  
+47.29%
5 Years     -
Since start  
+80.41%
Year
2023
  -5.35%
2022  
+23.90%
2021  
+39.75%
2020
  -6.31%
 

Dividends

2024-03-20 0.06 EUR
2023-12-20 0.06 EUR
2023-09-20 0.07 EUR
2023-06-20 0.07 EUR
2023-03-20 0.06 EUR
2022-12-20 0.06 EUR
2022-09-20 0.07 EUR
2022-06-20 0.06 EUR
2022-03-21 0.06 EUR
2021-12-20 0.06 EUR
2021-09-20 0.08 EUR
2021-06-21 0.03 EUR
2021-03-22 0.06 EUR
2020-12-21 0.03 EUR
2020-09-21 0.04 EUR
2020-06-22 0.03 EUR
2020-03-20 0.05 EUR
2019-12-20 0.03 EUR
2019-09-20 0.05 EUR