PIMCO Funds - Global Investors Series plc - Asia High Yield Bond Fund M Retail USD Income II/  IE00BGSXQT33  /

Fonds
NAV17/05/2024 Chg.+0.0100 Type de rendement Focus sur l'investissement Société de fonds
6.3600USD +0.16% paying dividend Bonds Asia (excl. Japan) PIMCO Gl. Ad. (IE) 
  • Dividendes ajustés Dividendes ajustés

Performance mensuelle

  janv. févr. mars avr. mai juin juil. août sept. oct. nov. déc. Total
2019 - - 2.41 0.47 -0.16 1.86 0.73 -1.07 0.70 1.54 0.20 1.23 -
2020 0.39 -0.01 -14.01 5.13 3.12 3.24 2.84 2.21 -2.00 -0.21 3.09 1.82 +4.23%
2021 -0.23 0.42 0.06 1.01 0.55 -1.25 -3.57 2.40 -3.99 -4.99 -1.32 -0.46 -11.04%
2022 -3.58 -4.41 -1.88 -1.02 -3.59 -6.96 -2.87 3.47 -6.90 -8.33 15.25 7.26 -14.87%
2023 6.59 -2.51 -2.76 -1.40 -3.64 3.02 -1.41 -3.90 0.73 -0.94 4.72 1.69 -0.43%
2024 2.10 1.78 1.97 -0.82 2.42 - - - - - - - -
Mois uniques : Dividendes non pris en compte

Valeurs calculées

  CAD 6 Mois 1 An 3 Ans 5 Ans
Volatilité 3.10% 3.08% 4.35% 8.10% 7.38%
Ratio de Sharpe 5.80 6.90 1.81 -1.36 -0.83
Le meilleur mois +2.42% +4.72% +4.72% +15.25% +15.25%
Le plus défavorable mois -0.82% -0.82% -3.90% -8.33% -14.01%
Perte maximale -1.43% -1.43% -6.53% -40.80% -40.80%
Surperformance - - - - -
 
Toutes les cotations dans USD

Tranches

Nom   Type de rendement Prix de rachat 1 An 3 Ans
PIMCO Asia HY Bd.Fd.E USD reinvestment 8.7600 +11.88% -20.00%
PIMCO Asia HY Bd.Fd.Inst.AUD H paying dividend 6.8000 +11.04% -
PIMCO Asia HY Bd.Fd.Inst.GBP H reinvestment 8.4300 +12.25% -
PIMCO Asia HY Bd.Fd.Inst.SGD H paying dividend 6.8800 +10.98% -
PIMCO Funds - Global Investors S... reinvestment 8.1000 +12.34% -19.00%
PIMCO Funds - Global Investors S... paying dividend 6.3200 +11.35% -19.80%
PIMCO Funds - Global Investors S... paying dividend 6.6300 +10.68% -20.27%
PIMCO Funds - Global Investors S... paying dividend 6.7700 +12.48% -18.62%
PIMCO Funds - Global Investors S... paying dividend 68.1700 +9.61% -20.06%
PIMCO Funds - Global Investors S... paying dividend 6.6200 +10.74% -21.38%
PIMCO Funds - Global Investors S... paying dividend 6.2600 +7.42% -26.60%
PIMCO Funds - Global Investors S... reinvestment 7.7200 +7.22% -26.69%
PIMCO Funds - Global Investors S... paying dividend 6.2600 +8.23% -24.66%
PIMCO Funds - Global Investors S... reinvestment 7.9700 +8.29% -24.67%
PIMCO Funds - Global Investors S... reinvestment 8.3300 +12.72% -18.25%
PIMCO Funds - Global Investors S... paying dividend 6.7100 +12.55% -18.32%
PIMCO Funds - Global Investors S... paying dividend 6.9000 +11.78% -20.05%
PIMCO Funds - Global Investors S... paying dividend 6.3600 +11.70% -20.09%
PIMCO Funds - Global Investors S... paying dividend 6.6900 +10.05% -21.72%
PIMCO Funds - Global Investors S... paying dividend 6.1700 +9.99% -21.68%
PIMCO Funds - Global Investors S... paying dividend 6.9000 +12.23% -19.08%
PIMCO Funds - Global Investors S... paying dividend 6.8600 +11.28% -19.67%
PIMCO Funds - Global Investors S... reinvestment 10.0000 +13.51% -16.25%
PIMCO Asia HY Bd.Fd.Inst.USD paying dividend 6.9000 +12.79% -17.86%
PIMCO Asia HY Bd.Fd.Inst.EUR H reinvestment 8.2700 +10.86% -22.20%
PIMCO Asia HY Bd.Fd.Inst.EUR H paying dividend 6.4700 +10.78% -22.23%
PIMCO Asia HY Bd.Fd.Inst.USD reinvestment 9.6600 +12.85% -17.86%
PIMCO Asia HY Bd.Fd.Inst.GBP H paying dividend 6.5400 +12.34% -18.89%
PIMCO Asia HY Bd.Fd.Inv.EUR H paying dividend 6.3300 +10.44% -22.96%
PIMCO Asia HY Bd.Fd.E EUR H reinvestment 8.0100 +9.73% -24.29%
PIMCO Asia HY Bd.Fd.E EUR H paying dividend 6.4600 +9.79% -24.32%

Performance

CAD  
+7.63%
6 Mois  
+11.73%
1 An  
+11.70%
3 Ans
  -20.09%
5 Ans
  -10.82%
10 ans     -
Depuis le début
  -7.88%
Année
2023
  -0.43%
2022
  -14.87%
2021
  -11.04%
2020  
+4.23%
 

Dividendes

29/04/2024 0.05 USD
27/03/2024 0.04 USD
28/02/2024 0.04 USD
30/01/2024 0.05 USD
28/12/2023 0.04 USD
29/11/2023 0.04 USD
30/10/2023 0.04 USD
28/09/2023 0.04 USD
30/08/2023 0.05 USD
28/07/2023 0.05 USD
29/06/2023 0.06 USD
25/05/2023 0.04 USD
27/04/2023 0.05 USD
30/03/2023 0.05 USD
27/02/2023 0.04 USD
30/01/2023 0.05 USD
29/12/2022 0.04 USD
29/11/2022 0.05 USD
28/10/2022 0.04 USD
29/09/2022 0.05 USD
26/08/2022 0.04 USD
28/07/2022 0.04 USD
29/06/2022 0.04 USD
25/05/2022 0.03 USD
28/04/2022 0.03 USD
30/03/2022 0.05 USD
25/02/2022 0.05 USD
27/01/2022 0.05 USD
29/12/2021 0.05 USD
29/11/2021 0.03 USD
28/10/2021 0.03 USD
29/09/2021 0.06 USD
27/08/2021 0.05 USD
29/07/2021 0.05 USD
29/06/2021 0.06 USD
27/05/2021 0.05 USD
29/04/2021 0.05 USD
30/03/2021 0.06 USD
25/02/2021 0.05 USD
28/01/2021 0.05 USD
30/12/2020 0.05 USD
27/11/2020 0.05 USD
29/10/2020 0.05 USD
29/09/2020 0.06 USD
27/08/2020 0.05 USD
30/07/2020 0.05 USD
29/06/2020 0.06 USD
28/05/2020 0.05 USD
29/04/2020 0.05 USD
30/03/2020 0.05 USD
27/02/2020 0.05 USD
30/01/2020 0.05 USD
30/12/2019 0.06 USD
27/11/2019 0.05 USD
30/10/2019 0.06 USD
27/09/2019 0.05 USD
29/08/2019 0.05 USD
30/07/2019 0.06 USD
27/06/2019 0.05 USD
29/05/2019 0.05 USD
29/04/2019 0.06 USD
28/03/2019 0.07 USD