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    Mediolanum Flessibile Globale LA (IT0000380185.MI)

    16.54 Up 0.03(0.18%) Jul 26

    Performance Overview as of Apr 29, 2016Get Performance Overview for:
    Performance Overview 
    Morningstar Return Rating:1.00
    Year-to-Date Return:-5.72%
    5-Year Average Return:3.06%
    Number of Years Up:19
    Number of Years Down:11
    Best 1 Yr Total Return (2009-12-31):27.39%
    Worst 1 Yr Total Return (2008-12-31):-39.90%
    Best 3-Yr Total Return (N/A):9.43%
    Worst 3-Yr Total Return (N/A):-16.14%
    Load Adjusted Returns 
    1-Year:-15.19%
    3-Year:0.32%
    5-Year:1.80%
    10-Year:-1.23%
    Trailing Returns (%) vs. Benchmarks 
    ReturnIT0000380185.MICategoryDiffIndex*Diff
    Year To Date-5.72N/AN/AN/AN/A
    1-Month-0.44N/AN/AN/AN/A
    3-Month-0.31N/AN/AN/AN/A
    1-Year-9.77N/AN/AN/AN/A
    3-Year2.41N/AN/AN/AN/A
    5-Year3.06N/AN/AN/AN/A
    Last Bull Market ( to )N/AN/AN/AN/AN/A
    Last Bear Market ( to )N/AN/AN/AN/AN/A
    Annual Total Return (%) History () 
    YearIT0000380185.MICategoryDiff
    2016N/AN/AN/A
    2015
     
    5.30N/AN/A
    2014
     
    4.94N/AN/A
    2013
     
    10.86N/AN/A
    2012
     
    8.49N/AN/A
    2011
     
    -12.02N/AN/A
    2010
     
    15.08N/AN/A
    2009
     
    27.39N/AN/A
    2008
     
    -39.90N/AN/A
    2007
     
    -2.37N/AN/A
    2006
     
    0.50N/AN/A
    2005
     
    22.91N/AN/A
    2004
     
    2.72N/AN/A
    2003
     
    3.79N/AN/A
    2002
     
    -33.44N/AN/A
    2001
     
    -9.93N/AN/A
    2000
     
    -15.77N/AN/A
    1999
     
    41.96N/AN/A
    1998
     
    7.09N/AN/A
    1997
     
    21.53N/AN/A
    1996
     
    3.27N/AN/A
    1995
     
    9.97N/AN/A
    1994
     
    -1.91N/AN/A
    1993
     
    39.05N/AN/A
    1992
     
    -1.42N/AN/A
    1991
     
    6.28N/AN/A
    1990
     
    -13.31N/AN/A
    1989
     
    11.19N/AN/A
    1988
     
    11.65N/AN/A
    1987
     
    -13.94N/AN/A
    1986
     
    -6.02N/AN/A
    1985N/AN/AN/A
    Past Quarterly Returns (%) for IT0000380185.MI 
    Q1Q2Q3Q4
    2016-5.30N/AN/AN/A
    201511.61-2.99-7.014.58
    2014-2.032.374.86-0.21
    20136.88-2.202.323.64
    20125.58-1.593.890.49
    2011-3.41-5.43-11.168.41
    20106.70-6.042.9111.53
    2009-3.4312.7211.045.39
    2008-13.212.06-12.28-22.66
    20070.155.30-2.65-4.90
    20062.65-5.981.242.86
    20051.745.948.265.33
    20044.44-0.75-3.282.46
    2003-8.937.392.523.51
    2002-0.09-18.79-17.62-0.42
    2001-5.924.71-19.9814.25
    20008.90-5.77-4.51-14.05
    19999.188.28-2.0722.62
    199815.36-3.61-17.3416.51
    19978.6711.433.40-2.94
    19962.24-0.25-1.152.45
    19955.471.121.211.88
    19943.67-2.65-0.31-2.51
    19939.127.2410.117.92
    1992-0.29-4.54-5.9510.13
    19918.421.18-1.61-1.53
    1990-0.546.76-16.56-2.16
    19890.935.236.09-1.33
    19883.291.163.503.24
    19871.08-0.20-2.61-12.41
    1986-12.360.826.320.04
    19858.51N/AN/AN/A
    Rank in Category (by total return) 
    PeriodRankFunds in Category% Rank
    Year To Date66N/A
    1-Month87N/A
    3-Month85N/A
    6-Month78N/A
    1-Year65N/A
    3-Year96N/A
    5-Year95N/A