NAV2024-04-17 Chg.-0.5500 Type of yield Investment Focus Investment company
82.9100EUR -0.66% paying dividend Equity Mixed Sectors Franklin Templeton 
  • Dividends adjusted Dividends adjusted

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2006 - - - - - - - - - 7.01 1.98 4.15 -
2007 4.11 -9.87 2.81 10.12 9.73 1.71 1.90 -1.17 8.77 12.81 -2.81 7.44 +52.99%
2008 -15.87 -4.79 -14.10 10.43 -7.29 -20.26 8.30 7.04 -6.64 -17.47 -6.11 -2.23 -53.95%
2009 5.74 -6.38 3.22 16.50 21.29 -1.01 4.58 -0.37 6.69 -2.42 5.42 8.72 +77.72%
2010 0.36 3.48 10.05 3.37 0.26 4.64 -3.21 3.65 7.08 -1.43 2.98 1.64 +37.39%
2011 -12.63 -2.62 8.02 -4.32 -0.09 1.02 0.04 -9.58 -1.26 4.07 -9.81 -4.23 -28.75%
2012 16.78 2.97 -3.81 -4.37 -3.90 4.16 2.17 -2.23 9.67 -3.00 4.92 -1.71 +21.35%
2013 1.69 -3.33 0.97 1.66 -3.23 -7.11 -5.13 -12.71 9.45 9.91 -1.25 2.93 -8.15%
2014 -2.89 2.10 10.00 -0.78 13.46 3.90 2.93 6.53 3.07 6.94 4.30 0.77 +62.03%
2015 14.94 1.00 2.76 -9.61 6.68 -3.53 3.71 -9.45 0.45 3.12 0.95 -2.59 +6.15%
2016 -6.01 -8.08 8.72 1.80 4.84 2.46 5.12 4.96 -2.94 3.71 -6.08 -0.93 +6.14%
2017 3.92 6.92 6.00 1.29 -2.41 -2.38 2.55 -3.10 -1.62 6.85 -0.88 3.78 +22.12%
2018 -1.63 -5.25 -3.10 5.22 0.34 -2.65 2.63 -0.74 -11.71 -3.18 11.31 -0.79 -10.73%
2019 -4.32 0.78 9.98 1.65 2.27 -1.15 -3.48 -4.17 7.21 0.44 1.81 0.00 +10.51%
2020 2.80 -5.28 -28.13 12.87 -2.72 5.65 2.01 4.61 1.10 2.75 8.18 7.22 +4.38%
2021 -0.56 4.64 6.04 -4.79 7.32 3.10 2.11 8.48 3.88 1.34 -1.30 1.52 +35.81%
2022 1.09 -4.94 0.70 1.65 -5.59 -4.07 12.62 3.02 -2.34 2.14 0.10 -8.26 -5.33%
2023 -1.28 -0.33 -0.92 2.24 5.09 3.61 2.77 0.88 3.75 -2.62 4.05 4.73 +23.90%
2024 4.61 2.18 1.56 -0.31 - - - - - - - - -
Single months: Dividends not considered

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 11.58% 11.51% 10.53% 14.68% 20.62%
Sharpe ratio 2.36 2.27 3.08 1.03 0.44
Best month +4.73% +4.73% +5.09% +12.62% +12.87%
Worst month -0.31% -2.62% -2.62% -8.26% -28.13%
Maximum loss -4.03% -4.54% -5.32% -17.93% -43.10%
Outperformance +8.22% - +8.92% +10.64% +6.50%
 
All quotes in EUR

Tranches

Name   Type of yield Repurchase p. 1 Year 3 Years
F.India Fd.A GBP paying dividend 91.2300 +31.25% +64.29%
F.India Fd.C USD reinvestment 57.2200 +31.30% +43.77%
F.India Fd.A SGD reinvestment 23.5800 +34.67% +49.62%
F.India Fd.N-H1 PLN reinvestment 28.2100 +31.95% +45.34%
F.India Fd.A SEK reinvestment 42.6600 +39.50% +90.19%
F.India Fd.AS SGD reinvestment 19.8800 +34.78% +50.04%
F.India Fd.A HKD reinvestment 29.5200 +31.73% -
F.India Fd.Z GBP reinvestment 42.8300 +31.91% -
F.India Fd.W GBP reinvestment 44.2700 +32.27% -
F.India Fd.I EUR reinvestment 85.0000 +36.41% +69.29%
F.India Fd.I USD reinvestment 75.0800 +33.19% +50.07%
F.India Fd.I EUR paying dividend 82.9100 +36.32% +68.69%
F.India Fd.W USD reinvestment 35.2400 +33.08% +49.83%
F.India Fd.W EUR reinvestment 41.5600 +36.35% +69.01%
F.India Fd.W-H1 EUR reinvestment 13.1500 +30.59% +40.19%
F.India Fd.S USD reinvestment 35.5800 +33.46% +51.02%
F.India Fd.X USD reinvestment 34.6800 +34.11% +53.38%
F.India Fd.Z USD reinvestment 26.8000 +32.61% +48.31%
F.India Fd.N USD reinvestment 55.4900 +31.06% +43.02%
F.India Fd.N EUR reinvestment 63.1400 +34.25% +61.36%
F.India Fd.A-H1 EUR reinvestment 16.3600 +29.64% +36.56%
F.India Fd.A USD reinvestment 63.7300 +32.06% +46.27%
F.India Fd.A EUR paying dividend 106.5300 +35.28% +65.01%
F.India Fd.A EUR reinvestment 72.2300 +35.26% +64.98%

Performance

YTD  
+8.22%
6 Months  
+14.00%
1 Year  
+36.32%
3 Years  
+68.69%
5 Years  
+84.49%
Since start  
+567.72%
Year
2023  
+23.90%
2022
  -5.33%
2021  
+35.81%
2020  
+4.38%
2019  
+10.51%
2018
  -10.73%
2017  
+22.12%
2016  
+6.14%
2015  
+6.15%
 

Dividends

2016-07-01 0.08 EUR
2014-07-01 0.12 EUR
2013-07-01 0.08 EUR
2012-07-02 0.03 EUR
2010-07-01 0.04 EUR
2009-07-01 0.04 EUR