HSBC ETFs PLC - HSBC MSCI PACIFIC ex JAPAN UCITS ETF USD/  IE00B5SG8Z57  /

Fonds
NAV2024-06-03 Chg.+0.1449 Type of yield Investment Focus Investment company
13.5433USD +1.08% paying dividend Equity Asia/Pacific ex Japan HSBC Inv. Funds (LU) 
  • Dividends adjusted Dividends adjusted

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2010 - - - - - - - - - 2.70 -2.14 7.56 -
2011 -0.40 1.58 2.26 5.63 -3.96 -1.73 1.25 -5.44 -14.84 15.05 -7.12 -0.98 -11.02%
2012 9.63 6.44 -2.87 0.89 -11.32 3.15 9.78 -0.26 4.28 1.79 1.63 2.44 +26.57%
2013 5.04 2.31 -0.52 4.06 -9.01 -5.99 3.25 -0.11 6.90 4.46 -2.83 -1.29 +5.10%
2014 -5.28 6.11 2.36 2.29 1.90 -0.03 3.73 0.26 -9.57 4.76 -3.63 -2.52 -0.79%
2015 -0.02 4.46 -1.33 3.97 -2.62 -3.79 -1.20 -10.40 -5.17 7.14 -1.15 2.16 -8.82%
2016 -8.84 -0.19 11.78 2.04 -2.22 0.79 6.90 -1.48 2.62 -2.13 -0.11 -0.58 +7.45%
2017 5.64 3.04 2.54 0.45 -1.02 2.01 4.26 0.24 -0.88 1.38 1.67 3.73 +25.37%
2018 2.16 -1.71 -4.17 3.09 0.27 -1.68 1.92 -1.83 -0.68 -8.74 2.85 -2.01 -10.61%
2019 7.17 3.74 0.87 1.68 -2.82 6.27 -0.74 -5.78 1.30 2.98 0.82 1.82 +17.96%
2020 -1.71 -7.69 -20.27 11.67 -0.42 7.99 2.56 5.58 -5.85 -0.54 14.64 5.23 +6.26%
2021 0.71 2.86 0.98 4.19 2.56 -2.02 -1.52 0.68 -3.61 3.23 -6.31 3.28 +4.55%
2022 -5.65 2.80 6.90 -5.92 -0.42 -8.33 3.80 -1.73 -10.63 0.48 14.63 0.42 -6.11%
2023 8.63 -6.48 0.55 0.16 -5.95 4.22 4.36 -5.85 -3.06 -4.48 6.92 8.99 +6.32%
2024 -3.49 0.53 1.31 -1.22 3.40 1.08 - - - - - - -
Single months: Dividends not considered

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 13.50% 13.96% 14.74% 16.21% 18.54%
Sharpe ratio -0.01 1.35 0.29 -0.34 0.00
Best month +8.99% +8.99% +8.99% +14.63% +14.64%
Worst month -3.49% -3.49% -5.85% -10.63% -20.27%
Maximum loss -6.69% -7.74% -12.82% -25.54% -39.41%
Outperformance +1.78% - +0.47% +10.57% +4.52%
 
All quotes in USD

Performance

YTD  
+1.49%
6 Months  
+10.62%
1 Year  
+8.00%
3 Years
  -4.86%
5 Years  
+20.38%
10 Years  
+35.49%
Since start  
+97.07%
Year
2023  
+6.32%
2022
  -6.11%
2021  
+4.55%
2020  
+6.26%
2019  
+17.96%
2018
  -10.61%
2017  
+25.37%
2016  
+7.45%
2015
  -8.82%
 

Dividends

2024-01-18 0.26 USD
2023-07-27 0.28 USD
2023-01-19 0.28 USD
2022-07-28 0.27 USD
2022-01-20 0.27 USD
2021-07-15 0.24 USD
2021-01-28 0.17 USD
2020-07-16 0.19 USD
2020-02-06 0.22 USD
2019-07-25 0.30 USD
2019-01-24 0.23 USD
2018-07-26 0.26 USD
2018-02-01 0.24 USD
2017-07-27 0.24 USD
2017-02-02 0.20 USD
2016-07-28 0.22 USD
2016-01-28 0.21 USD
2015-07-23 0.24 USD
2015-01-22 0.24 USD
2014-07-23 0.29 USD
2014-01-22 0.24 USD
2013-07-24 0.25 USD
2013-01-23 0.24 USD
2012-07-25 0.24 USD
2012-02-01 0.24 USD
2011-07-27 0.23 USD
2011-01-19 0.10 USD