0P00000QWV.L - Baillie Gifford Managed Fund A Accumulation

LSE - LSE Delayed Price. Currency in GBp (0.01 GBP)

Performance Overview

Morningstar Return RatingN/A1
Year-to-Date Return4.45%
5-Year Average Return3.23%
Number of Years Up25
Number of Years Down10
Best 1 Yr Total Return (Jun 1, 2023)32.42%
Worst 1 Yr Total Return (Jun 1, 2023)N/A
Best 3-Yr Total Return32.42%
Worst 3-Yr Total Return0.78%

Trailing Returns (%) Vs. Benchmarks

Return0P00000QWV.LCategory
YTD4.45%0.00%
1-Month1.15%0.00%
3-Month-1.03%0.00%
1-Year1.83%0.00%
3-Year0.00%0.00%
5-Year3.23%0.00%
10-Year6.03%0.00%
Last Bull Market0.00%0.00%
Last Bear Market0.00%0.00%

Annual Total Return (%) History

Year
0P00000QWV.LCategory
2023
N/AN/A
2022
-25.11%N/A
2021
3.21%N/A
2020
32.42%N/A
2019
19.98%N/A
2018
-3.64%N/A
2017
13.68%N/A
2016
16.46%N/A
2015
5.50%N/A
2014
2.85%N/A
2013
15.37%N/A
2012
12.78%N/A
2011
-4.91%N/A
2010
18.80%N/A
2009
22.36%N/A
2008
-18.93%N/A
2007
8.38%N/A
2006
9.15%N/A
2005
18.54%N/A
2004
8.81%N/A
2003
17.93%N/A
2002
-11.67%N/A
2001
-17.25%N/A
2000
-9.77%N/A
1999
-98.70%N/A
1998
13.99%N/A
1997
15.65%N/A
1996
6.85%N/A
1995
15.33%N/A
1994
-8.79%N/A
1993
22.39%N/A
1992
20.74%N/A
1991
13.15%N/A
1990
-13.16%N/A
1989
31.26%N/A
1988
8.80%N/A
1987
N/AN/A

Past Quarterly Returns (%)

YearQ1Q2Q3Q4
20234.25%N/AN/AN/A
2022-13.78%-15.75%-0.21%3.31%
2021-1.91%7.87%-0.51%-1.96%
2020-10.38%24.48%8.44%9.46%
20198.54%7.39%-0.90%3.87%
2018-2.47%8.64%2.50%-11.27%
20175.43%3.57%0.90%3.18%
20161.79%2.36%9.32%2.24%
20157.92%-3.68%-4.43%6.20%
20141.35%0.65%-1.05%1.90%
201311.06%-1.41%2.95%2.35%
20127.63%-3.14%4.59%3.44%
20110.58%0.91%-10.97%5.25%
20107.75%-7.36%11.09%7.13%
2009-8.35%7.85%18.02%4.89%
2008-7.17%0.18%-10.91%-2.17%
20072.08%2.90%1.60%1.55%
20067.75%-4.14%2.35%3.25%
20052.28%3.84%6.92%4.39%
20041.20%-0.15%2.36%5.20%
2003-3.01%11.29%2.75%6.33%
20028.97%-6.58%-13.98%0.87%
2001-12.18%3.88%-24.38%19.95%
2000-0.73%2.34%-8.13%-3.32%
19997.34%0.58%-4.13%-98.75%
199812.82%0.19%-8.96%10.78%
19979.96%-5.03%N/AN/A
19963.79%0.15%3.30%-0.48%
19950.78%3.21%7.31%3.33%
1994-5.19%-5.82%1.53%0.60%
19932.21%2.16%6.66%9.90%
19924.12%2.40%1.29%11.81%
19915.43%-7.54%N/AN/A
1990-3.73%2.88%-16.01%4.39%
198918.14%0.44%8.95%1.53%
198816.31%3.31%-5.47%-4.22%
198712.16%-26.36%N/AN/A

Rank In Category (By Total Return)

YTD39
1-Month99
3-Month98
1-Year83
3-Year97
5-Year34

Load Adjusted Returns

1-Year-3.78%
3-Year2.02%
5-Year3.96%
10-Year6.08%