Cullen Emerging Markets High Dividend Fund
11,70
€
-0,12%
23/06/2022
Riesgo
6/7
ISIN
IE00BXNT0B58
Categoría
Patrimonio
29,7M€
Rentabilidad YTD
-9,80%
Estrategia de inversión
The investment objective of the Emerging Markets High Dividend Fund is to seek long-term capital appreciation and current income. The investment policy of the Fund is to purchase dividend paying equity securities of companies across all capitalizations organized in or with a strong association to emerging market countries globally including Russia and China (and subject to the limits provided further below) .
Comisiones
Management Fee
1.50%
On Going Charge
1.75%
Otras clases
Rentabilidad por períodos
Período |
Acumulada |
Anualizada |
---|---|---|
Año actual
|
-9,80% | - |
30 días
|
-5,46% | - |
6 meses
|
-9,13% | - |
12 meses
|
-7,35% | - |
2 años
|
21,45% | 10,21% |
3 años
|
9,58% | 3,10% |
5 años
|
8,79% | 1,70% |
Rentabilidad por trimestres
Año | T1 | T2 | T3 | T4 | |
---|---|---|---|---|---|
2012 | - | - | - | - | 2,08% |
2013 | -0,15% | 5,56% | -5,47% | -2,64% | 2,78% |
2014 | 12,32% | -0,91% | 7,34% | 6,76% | -1,09% |
2015 | -2,18% | 15,01% | -1,83% | -15,59% | 2,65% |
2016 | 9,31% | 1,18% | 2,16% | 6,11% | -0,33% |
2017 | 12,87% | 8,22% | -0,59% | 1,02% | 3,86% |
2018 | -13,44% | -0,36% | -5,17% | -0,17% | -8,24% |
2019 | 21,06% | 12,92% | -1,74% | 0,84% | 8,20% |
2020 | -2,57% | -25,31% | 10,20% | 1,96% | 16,10% |
2021 | 14,37% | 8,85% | 3,64% | -2,50% | 3,99% |
2022 | - | -3,26% | - | - | - |
Rentabilidad mensual
Rentabilidad de los últimos 12 meses
Categoría
Top Cullen Emerging Markets High Dividend Fund frente a su categoría
Documentos
Documento |
Última actualización |
---|---|
Factsheet |
14/06/2022
|
Prospectus |
12/04/2022
|
Key Investor Information Document (KIID) |
03/05/2022
|
Supplement |
06/07/2021
|
SemiannualReport |
13/05/2022
|
AnnualReport |
13/05/2022
|
Factsheet Institutional |
15/09/2019
|
Rulebook |
13/05/2022
|
Alarmas
Los que más suben
Los que más bajan
Divisas
Materias primas