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BNP Paribas Funds Sustainable US Multi-Factor Equity (0P0001IF64)

Other OTC - Other OTC Delayed Price. Currency in USD
177.85-2.60 (-1.44%)
At close: 04:00PM EDT
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Performance Overview

Morningstar Return RatingN/A1
Year-to-Date ReturnN/A
5-Year Average ReturnN/A
Number of Years Up3
Number of Years Down1
Best 1 Yr Total Return (Invalid Date)33.57%
Worst 1 Yr Total Return (Invalid Date)N/A
Best 3-Yr Total Return33.57%
Worst 3-Yr Total Return-3.60%

Trailing Returns (%) Vs. Benchmarks

Time periods greater than 1 year are annualized.
Return0P0001IF64Category
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
0P0001IF64Category
2023
N/AN/A
2022
-14.87%N/A
2021
31.54%N/A
2020
5.30%N/A
2019
26.60%N/A
2018
-3.40%N/A
2017
21.44%N/A
2016
11.01%N/A
2015
5.66%N/A
2014
7.82%N/A
2013
33.57%N/A
2012
10.60%N/A
2011
-3.61%N/A
2010
17.75%N/A
2009
30.93%N/A
2008
-41.89%N/A
2007
9.41%N/A
2006
9.07%N/A
2005
11.07%N/A
2004
8.82%N/A
2003
37.71%N/A
2002
-26.69%N/A
2001
-9.86%N/A
2000
1.47%N/A
1999
17.65%N/A
1998
24.86%N/A
1997
35.23%N/A
1996
29.22%N/A
1995
31.23%N/A
1994
-5.66%N/A
1993
2.19%N/A
1992
2.88%N/A
1991
33.86%N/A
1990
N/AN/A

Past Quarterly Returns (%)

YearQ1Q2Q3Q4
20233.87%6.91%N/AN/A
2022-4.74%-14.44%-5.45%10.46%
20216.54%8.88%0.49%12.84%
2020-23.23%18.41%6.63%8.63%
201912.47%4.20%0.95%7.02%
20181.66%1.22%7.89%-12.99%
20176.77%3.08%3.00%7.14%
20164.44%2.57%0.49%3.12%
20154.44%-0.01%-4.60%6.06%
20140.24%2.87%-0.85%5.46%
20138.41%1.80%9.70%10.32%
201215.04%-6.88%3.59%-0.33%
20115.43%1.36%-19.17%11.59%
20102.21%-10.01%12.56%13.74%
20090.06%16.06%10.06%2.45%
2008-14.54%2.01%-12.59%-23.74%
20070.62%7.31%1.89%-0.55%
20064.34%-6.29%3.77%7.51%
2005-2.85%1.71%6.20%5.86%
20043.07%-0.28%-5.08%11.54%
20031.84%16.82%5.30%9.93%
2002-1.75%-12.08%-16.96%2.20%
2001-10.68%13.23%-26.28%20.89%
20005.87%-1.82%-0.12%-2.27%
19993.99%4.30%-6.51%16.02%
199813.20%5.24%-12.38%19.62%
19971.97%19.50%9.98%0.92%
199610.24%3.73%5.99%6.62%
19958.04%7.46%9.76%2.97%
1994-4.51%-2.13%2.96%-1.96%
19932.23%-1.72%3.44%-1.67%
1992-3.55%-6.52%1.14%12.82%
199118.40%-5.36%8.36%10.25%
1990-23.27%10.85%N/AN/A

Rank In Category (By Total Return)

YTD90
1-Month86
3-Month92
1-Year77
3-Year44
5-Year76

Load Adjusted Returns

1-Year8.30%
3-Year8.17%
5-Year6.88%
10-Year10.59%
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