Staging ::: VER CORREOS
Acceder

Evli Emerging Frontier B

ISIN: FI4000066915

Evli

Valor liquidativo 12 meses 3 años
307,85 EUR * 19,70% 23,19%

Valor liquidativo 307,85 EUR

12 meses 19,70%

Evli Emerging Frontier B - FI4000066915

Información general

Divisa EUR
Tipo Renta variable
Fecha de creación 08/10/2013
Distribución o acumulación Acumulación

Estrategia de inversión

 

Evli Emerging Frontier Fund is an equity fund that invests its assets in the equities and equity-linked securities of companies operating in the emerging markets and in the frontier markets of the emerging economies. The fund’s geographical investment coverage consists of emerging economies or markets in Asia, Africa, Central Asia, the Middle East and Latin America. The fund may invest in derivatives contracts both for hedging purposes and as part of its investment strategy. The fund’s investment strategy is active and is based on stock selection. Investments are made in consumer-focused companies with growing cash flow and low market valuations. The strategy’s target markets are generally less known and less accessible for investors, while their economic growth is forecast to outperform that of the developed economies. This offers investors good diversification and an opportunity for high return.

Rentabilidad y riesgo

Evolución

Loading...

Fuente: TechRules.

Análisis de rendimiento

Rendimiento(1) Volatilidad(2)
2019 17,13% 10,09%
2020 19,00% 28,48%
2021 34,22% 12,34%
2022 -5,18% 15,33%
2023 9,36% 12,71%
2024 16,14% 11,18%

Fuente: TechRules.

(1) El valor acumula desde el 31 de Diciembre una rentabilidad inferior al SPDR® MSCI Emerging Markets UCITS ETF. La tendencia del rendimiento relativo de Evli Emerging Frontier B vs índice SPDR® MSCI Emerging Markets UCITS ETF es bajista.

(2) La volatilidad actual de Evli Emerging Frontier B es 11.61 %. La volatilidad de Evli Emerging Frontier B es mayor a la de SPDR® MSCI Emerging Markets UCITS ETF. La volatilidad está creciendo este mes. Por tanto, ahora, este es un activo de riesgo medio.

Rendimiento acumulado

Semanal1 mes3 meses1 año3 años5 añosAño actual
-0,28% 0,98% 2,72% 19,70% 23,19% 93,97% 16,14%

Otros fondos de Evli

Evli Corporate Bond B
Valor liquidativo 12 meses 3 años
260,69 EUR * 10,09% -1,54%
Evli Global B
Valor liquidativo 12 meses 3 años
38,62 EUR * 20,30% 23,33%
Evli Nordic Corporate Bond B
Valor liquidativo 12 meses 3 años
151,97 EUR * 8,47% 3,98%
Evli Nordic IB
Valor liquidativo 12 meses 3 años
106,06 EUR * 8,57% -18,62%
Evli Short Corporate Bond
Valor liquidativo 12 meses 3 años
31,64 EUR * 6,81% 4,85%