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Carmignac Portfolio Investissement (0P0000ZXIW.F)

Frankfurt - Frankfurt Delayed Price. Currency in EUR
177.390.00 (0.00%)
As of 10:00PM CEST. Market open.
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Performance Overview

Morningstar Return RatingN/A1
Year-to-Date ReturnN/A
5-Year Average ReturnN/A
Number of Years Up8
Number of Years Down2
Best 1 Yr Total Return (Invalid Date)42.58%
Worst 1 Yr Total Return (Invalid Date)N/A
Best 3-Yr Total Return42.58%
Worst 3-Yr Total Return-2.14%

Trailing Returns (%) Vs. Benchmarks

Time periods greater than 1 year are annualized.
Return0P0000ZXIW.FCategory
YTD0.00%0.00%
1-Month0.00%0.00%
3-Month0.00%0.00%
1-Year0.00%0.00%
3-Year0.00%0.00%
5-Year0.00%0.00%
10-Year0.00%0.00%
Last Bull Market0.00%0.00%
Last Bear Market0.00%0.00%

Annual Total Return (%) History

Year
0P0000ZXIW.FCategory
2023
N/AN/A
2022
-17.38%N/A
2021
5.22%N/A
2020
35.30%N/A
2019
25.76%N/A
2018
-13.48%N/A
2017
5.39%N/A
2016
2.79%N/A
2015
1.46%N/A
2014
11.35%N/A
2013
14.13%N/A
2012
8.90%N/A
2011
-9.95%N/A
2010
15.76%N/A
2009
42.58%N/A
2008
-29.88%N/A
2007
19.32%N/A
2006
10.93%N/A
2005
48.33%N/A
2004
2.39%N/A
2003
22.45%N/A
2002
4.38%N/A
2001
-26.54%N/A
2000
15.81%N/A
1999
67.91%N/A
1998
14.38%N/A
1997
20.89%N/A
1996
27.56%N/A
1995
2.40%N/A
1994
-26.49%N/A
1993
50.34%N/A
1992
9.65%N/A
1991
17.31%N/A
1990
-14.15%N/A
1989
N/AN/A

Past Quarterly Returns (%)

YearQ1Q2Q3Q4
20236.10%5.01%N/AN/A
2022-9.19%-10.25%-1.33%2.74%
20214.17%6.97%-3.24%-2.41%
2020-12.10%23.50%7.48%15.97%
201915.11%3.01%-0.48%6.58%
20180.85%2.66%-2.52%-14.27%
20173.80%1.01%0.87%-0.34%
2016-5.96%4.50%2.68%1.87%
201516.66%-3.51%-14.26%5.13%
2014-3.13%3.79%4.15%6.34%
20135.52%-2.28%4.01%6.42%
20126.64%-4.19%5.62%0.91%
2011-5.24%-3.30%-4.64%3.07%
20103.48%3.34%0.43%7.79%
20096.28%15.48%11.80%3.90%
2008-10.79%3.69%-15.85%-9.90%
2007-1.87%10.08%8.55%1.76%
20066.54%-1.67%-3.81%10.08%
20056.78%6.02%18.15%10.90%
20046.58%-9.56%1.81%4.33%
20032.01%4.67%8.07%6.11%
20020.22%-2.51%2.15%4.59%
2001-9.30%-1.92%-29.68%17.42%
200012.07%-0.16%10.49%-6.33%
19997.55%24.67%-3.09%29.22%
199812.59%-7.77%-18.20%34.66%
19970.66%19.82%11.57%-10.16%
199612.01%8.86%-3.88%8.84%
1995-8.82%10.61%5.37%-3.64%
1994-15.19%-6.80%1.23%-8.13%
19936.29%1.92%9.19%27.09%
199212.51%-8.87%-6.22%14.03%
199121.38%2.70%-5.43%-0.49%
199013.95%-1.76%-8.20%-16.46%
198911.36%7.09%-2.82%N/A

Rank In Category (By Total Return)

YTD44
1-Month40
3-Month19
1-Year20
3-Year63
5-Year52

Load Adjusted Returns

1-Year4.31%
3-Year2.97%
5-Year6.68%
10-Year6.47%
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