BNP Paribas Funds Turkey Equity I Capitalisation/  LU0823433775  /

Fonds
NAV2024-05-16 Chg.+5.4300 Type of yield Investment Focus Investment company
345.0900EUR +1.60% reinvestment Equity Mixed Sectors BNP PARIBAS AM (LU) 
 

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2005 - - - -9.66 16.63 11.12 11.94 1.69 10.11 -5.83 27.61 5.67 -
2006 11.45 10.53 -11.91 2.67 -28.94 -7.08 8.93 5.37 -1.88 15.25 -9.87 5.56 -9.14%
2007 9.31 -0.49 5.49 2.74 10.93 0.85 7.72 -6.75 15.71 2.43 -8.24 6.37 +53.26%
2008 -19.50 0.09 -23.05 11.38 -1.75 -11.56 17.17 2.31 -16.22 -33.83 -7.13 -1.19 -63.41%
2009 -0.29 -8.54 4.92 28.43 8.37 6.04 18.75 6.21 2.53 -2.83 -7.99 24.32 +102.99%
2010 8.04 -11.12 15.12 9.24 -6.01 1.26 7.51 1.75 8.42 3.68 -4.93 -5.13 +27.47%
2011 -9.71 -4.37 6.99 6.18 -9.26 -2.15 -3.40 -17.41 10.92 -4.05 -2.11 -6.63 -32.40%
2012 18.83 4.51 1.52 0.04 -6.32 15.05 7.81 -0.64 -1.30 6.85 1.61 5.45 +64.51%
2013 -0.83 2.92 8.32 -0.52 -2.25 -15.23 -5.37 -12.65 10.04 5.54 -3.07 -17.82 -30.31%
2014 -10.32 1.31 14.60 6.68 11.41 -2.62 6.17 -1.44 -7.63 12.11 6.49 -1.99 +36.32%
2015 7.69 -8.06 -5.55 -2.55 2.28 -3.33 -4.74 -13.12 -4.23 10.99 1.90 -6.97 -24.86%
2016 0.47 1.85 9.08 3.65 -9.55 1.72 -7.25 2.91 -1.53 2.57 -10.66 4.17 -4.50%
2017 -0.57 7.12 1.95 8.23 0.02 1.58 2.07 3.54 -7.64 0.94 -11.00 11.31 +16.55%
2018 1.98 0.01 -7.27 -8.29 -9.91 -3.80 -6.57 -28.99 20.01 -0.68 11.51 -6.30 -37.88%
2019 16.20 -2.59 -13.09 -1.75 1.12 5.45 11.06 -8.76 13.11 -9.19 9.57 0.79 +18.46%
2020 3.28 -13.88 -18.68 8.23 4.92 7.99 -11.38 -10.08 2.53 -10.42 19.42 17.38 -8.99%
2021 1.58 -3.11 -12.88 -0.47 -0.27 -2.08 7.18 10.18 -7.48 -0.85 -12.92 -0.91 -22.11%
2022 12.03 -7.62 10.43 13.91 -6.75 -5.14 2.53 20.85 0.49 20.98 16.17 7.16 +115.94%
2023 -9.00 4.73 -4.87 -4.21 0.10 -4.45 22.27 17.05 5.13 -10.69 2.66 -3.48 +10.61%
2024 15.24 2.87 -2.94 18.26 4.12 - - - - - - - -

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 22.94% 24.57% 29.14% 37.11% 35.56%
Sharpe ratio 6.65 3.76 2.57 1.09 0.62
Best month +18.26% +18.26% +22.27% +22.27% +22.27%
Worst month -3.48% -3.48% -10.69% -12.92% -18.68%
Maximum loss -10.51% -10.51% -16.95% -33.41% -44.65%
Outperformance -2.61% - -6.16% -2.68% +3.72%
 
All quotes in EUR

Tranches

Name   Type of yield Repurchase p. 1 Year 3 Years
BNP Paribas Funds Turkey Equity ... reinvestment 104.9600 +76.73% +158.84%
BNPP F.Turkey Eq.Pr.EUR paying dividend 113.7700 +78.42% +197.91%
BNP Paribas Funds Turkey Equity ... reinvestment 345.0900 +78.65% +198.93%
BNP Paribas Funds Turkey Equity ... reinvestment 286.1700 +75.35% +182.75%
BNPP F.Turkey Eq.Pr.EUR reinvestment 172.7000 +78.45% +197.91%
BNP Paribas Funds Turkey Equity ... paying dividend 196.8400 +76.68% +189.15%

Performance

YTD  
+41.67%
6 Months  
+39.68%
1 Year  
+78.65%
3 Years  
+198.93%
5 Years  
+215.90%
10 Years  
+74.04%
Since start  
+245.09%
Year
2023  
+10.61%
2022  
+115.94%
2021
  -22.11%
2020
  -8.99%
2019  
+18.46%
2018
  -37.88%
2017  
+16.55%
2016
  -4.50%
2015
  -24.86%