Trend

Last Previous Currency Date Chng
22.27 22.34 EUR 26/04/29 -0.31

Terms

Isin LU1555161436
Contract Type N.D.
Currency EUR
Class C
Risk Class 4
Assogestioni Category Azionari Internazionali
Declared Benchmark 100% MSCI World Net TR
Start Date 19/05/14
Advisor Name Morgan Stanley Invest. Mgmt.
Fund Asset Under Management 2,6433  at 26/03/31

Performance

Cumulatives
1 month +9.11
Ytd +5.75
1 year +23.24
3 years +51.60
5 years +62.55
Yearly
03/31/2025 +4.57
03/31/2024 +20.89
03/31/2023 +18.66
03/31/2022 -11.53
03/31/2021 +29.13
Rating
N.Av.
Score
N.Av.

Company

Nord Est Asset Mgmt.
39 All�e Scheffer N.Av. - Luxembourg
Tel. +352-47671

Costs

Entrance (ACP) Min: 3,0000 - Max: 3,0000
Management 0.95
Reimbursement 0%
Administrative 0,07%
Switch 0%
Tunnel N.D.

Subscription

One Solution
Initial 50000,0000 EUR
Integrative 0,0000 EUR
Accumulation Plan
Duration N.Av.
Minimum Payment Unit N.Av.
Initial Payment 50000,0000

Costs

Entrance (ACP) Min: 3,0000 - Max: 3,0000
Management 0.95
Reimbursement 0%
Administrative 0,07%
Switch 0%
Tunnel N.D.

Performance

Cumulatives
1 day -0.31
1 week -0.18
1 month +9.11
3 months +4.60
6 months +5.45
From the beginning of the year +5.75
1 year +23.24
2 years +22.97
3 years +51.60
4 years +48.07
5 years +62.55
Yearly
03/31/2025 +4.57
03/31/2024 +20.89
03/31/2023 +18.66
03/31/2022 -11.53
03/31/2021 +29.13


Rating
N.Av.
Score
N.Av.

Efficiency Indicators

Sharpe 1 year N.Av.
Benchmark 1 year N.Av.
Sharpe 3 years N.Av.
Benchmark 3 years N.Av.
Sharpe 5 years N.Av.
Benchmark 5 years N.Av.
Sortino 1 year N.Av.
Benchmark 1 year N.Av.
Sortino 3 years N.Av.
Benchmark 3 years N.Av.
Sortino 5 years N.Av.
Benchmark 5 years N.Av.

Absolute

Standard Volatility
1 year +8.01
3 years N.Av.
5 years N.Av.
Negative Volatility
1 year N.Av.
3 years N.Av.
5 years N.Av.

Benchmark

Standard Volatility
1 year N.Av.
3 years N.Av.
5 years N.Av.
Negative Volatility
1 year N.Av.
3 years N.Av.
5 years N.Av.
Updated Monthly - 26/03/31

Relative

Sharpe N.Av.
Sortino N.Av.
Bull Market N.Av.
Bear Market N.Av.
Benchmark N.Av.
Benchmark N.Av.
Benchmark N.Av.
Benchmark N.Av.
Three years data
Risk Class 4

General

  1 year 17,995 3 years 15,871 5 years 14,155
  Pos. Chng % Pos. Chng % Pos. Chng %
Performance
1 year 17,995
-1
  
+9.80
3 years 15,871
-1
  
+43.79
5 years 14,155
-1
  
+55.42
Performance
-1 +9.80 -1 +43.79 -1 +55.42
Total Volatility
1 year 17,995
10,556
  
+8.01
3 years 15,871
-1
  
N.Av.
5 years 14,155
-1
  
N.Av.
Total Volatility
10,556 +8.01 -1 N.Av. -1 N.Av.
Negative Volatility
1 year 17,995
-1
  
N.Av.
3 years 15,871
-1
  
N.Av.
5 years 14,155
-1
  
N.Av.
Negative Volatility
-1 N.Av. -1 N.Av. -1 N.Av.
Sharpe Index
1 year 17,995
-1
  
N.Av.
3 years 15,871
-1
  
N.Av.
5 years 14,155
-1
  
N.Av.
Sharpe Index
-1 N.Av. -1 N.Av. -1 N.Av.
Sortino Index
1 year 17,995
-1
  
N.Av.
3 years 15,871
-1
  
N.Av.
5 years 14,155
-1
  
N.Av.
Sortino Index
-1 N.Av. -1 N.Av. -1 N.Av.

By Category

  1 year 17,995 3 years 15,871 5 years 14,155
  Pos. Chng % Pos. Chng % Pos. Chng %
Performance
1 year 17,995
-1
  
+9.80
3 years 15,871
-1
  
+43.79
5 years 14,155
-1
  
+55.42
Performance
-1 +9.80 -1 +43.79 -1 +55.42
Total Volatility
1 year 17,995
36
  
+8.01
3 years 15,871
-1
  
N.Av.
5 years 14,155
-1
  
N.Av.
Total Volatility
36 +8.01 -1 N.Av. -1 N.Av.
Negative Volatility
1 year 17,995
-1
  
N.Av.
3 years 15,871
-1
  
N.Av.
5 years 14,155
-1
  
N.Av.
Negative Volatility
-1 N.Av. -1 N.Av. -1 N.Av.
Sharpe Index
1 year 17,995
-1
  
N.Av.
3 years 15,871
-1
  
N.Av.
5 years 14,155
-1
  
N.Av.
Sharpe Index
-1 N.Av. -1 N.Av. -1 N.Av.
Sortino Index
1 year 17,995
-1
  
N.Av.
3 years 15,871
-1
  
N.Av.
5 years 14,155
-1
  
N.Av.
Sortino Index
-1 N.Av. -1 N.Av. -1 N.Av.

Foreign Funds - Nef Ethical Global Equity C Cap Eur: Performance, Terms, Fees, Risk, Rating


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