Fondens utveckling

Fond information
Senast uppdatering09/11/2021
Daglig avkastning-0.01%
Sedan start22.27%
Avkastning innevarande månad0.25%
Avkastning under 202121.73%
NAV122.27
År
Jan
Feb
Mar
Apr
Maj
Jun
Jul
Aug
Sep
Okt
Nov
Dec
Årlig avkastning
2021-1.71%0.41%10.10%1.73%1.58%3.06%3.28%1.12%-2.47%3.03%0.25%21.73%
20205.87%-10.73%-12.85%12.62%-1.38%-5.59%-3.39%2.29%-0.82%-6.38%9.20%4.52%-9.56%
2019-0.66%-0.58%5.96%-2.32%3.25%4.33%3.15%1.00%-1.65%1.15%-2.69%11.06%

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