Porównanie stopy zwrotu funduszy inwestycyjnych
Porównanie stóp zwrotu: fundusze zagraniczne - akcji / dywidendowy (Świat)
Nazwa 1 mies. 2 mies. 3 mies. 6 mies. 12 mies. 18 mies. 24 mies. 36 mies.
Allianz Global Investors Fund Allianz GEM Equity High Dividend AMg Inc HKD (HKD) +6,56% +7,62% +8,85% +10,92% +42,43%      
Allianz Global Investors Fund Allianz GEM Equity High Dividend AMg Inc USD (USD) +6,68% +7,79% +9,08% +10,79% +42,08%      
Allianz Global Investors Fund Allianz GEM Equity High Dividend AT Acc EUR (EUR) +7,23% +9,34% +10,66% +15,22% +49,37% +38,12% +21,38% +57,48%
Allianz Global Investors Fund Allianz GEM Equity High Dividend AT Acc HUF (HUF) +6,95% +9,28% +10,88% +15,17% +49,85% +38,04% +21,50% +58,62%
Allianz Global Investors Fund Allianz GEM Equity High Dividend AT Acc USD (USD) +7,03% +8,42% +10,13% +14,29% +48,72% +35,95% +21,67% +56,58%
Allianz Global Investors Fund Allianz GEM Equity High Dividend CT Acc EUR (EUR) +7,15% +9,22% +10,46% +14,70% +44,04% +32,66% +16,16% +49,57%
Allianz Global Investors Fund Allianz GEM Equity High Dividend I Inc EUR (EUR) +7,32% +9,53% +8,01% +12,87% +39,88% +28,42% +13,44% +46,79%
Allianz Global Investors Fund Allianz High Dividend Asia Pacific Equity A Inc EUR (EUR) +4,71% +5,49% +3,74% +10,63% +27,43%      
Allianz Global Investors Fund Allianz High Dividend Asia Pacific Equity AM Inc EUR (EUR) +4,44% +4,89% +4,68% +10,54% +25,03%      
Allianz Global Investors Fund Allianz High Dividend Asia Pacific Equity AM Inc USD (USD) +3,91% +3,70% +3,53% +9,11% +22,39%      
Allianz Global Investors Fund Allianz High Dividend Asia Pacific Equity AT (H2-PLN) Acc PLN (H) (PLN) +4,77% +8,66% +7,17% +3,95%        
Allianz Global Investors Fund Allianz High Dividend Asia Pacific Equity I (H-EUR) Inc EUR (H) (EUR) +2,22% +2,83% -0,87% +1,57% +9,52%      
Allianz Global Investors Fund Allianz High Dividend Asia Pacific Equity I Inc EUR (EUR) +4,81% +5,67% +2,97% +10,13% +21,59%      
Allianz Global Investors Fund Allianz High Dividend Asia Pacific Equity IT Acc USD (USD) +4,65% +4,89% +5,30% +12,94%        
Allianz Global Investors Fund Allianz High Dividend Asia Pacific Equity W (H-EUR) Inc EUR (H) (EUR) +2,24% +2,86% -0,94% +1,52% +9,58%      
Fidelity Funds - Global Dividend Fund A Acc EUR (H) (EUR) -1,10% +0,49% +0,78% +5,04% +11,53% +19,47% +13,49% +23,47%
Fidelity Funds - Global Dividend Fund A Acc USD (USD) -0,64% +1,17% +2,31% +7,01% +16,06% +29,18% +20,97% +26,39%
Franklin Templeton Investment Funds Asian Dividend Fund A Acc EUR (EUR) -0,95% -1,95% +0,27% +3,39% +11,49% +2,44% -6,68% +25,97%
Franklin Templeton Investment Funds Asian Dividend Fund A Acc USD (USD) +2,06% +3,66% +4,79% +6,77% +10,48% +23,12% +13,71% +20,32%
Franklin Templeton Investment Funds Asian Dividend Fund N Acc EUR (EUR) +2,19% +3,47% +4,50% +7,88% +9,74% +21,32% +9,39% +18,39%
HSBC Global Investment Funds Asia Pacific ex Japan Equity High Dividend E Acc USD (USD) -1,61% +6,80% +0,15% +0,33% +15,57% +12,64% +8,55% +22,34%
Schroder International Selection Global Dividend Maximiser A Acc EUR (H) (EUR) -1,41% +5,28% -1,13% -4,21% -2,11% -9,63% -6,63% +7,36%
Schroder International Selection Global Dividend Maximiser A Acc USD (USD) -1,69% +5,36% +0,63% -0,91% +4,94% +5,77% +5,62% +14,92%
Schroder International Selection Global Dividend Maximiser A Inc EUR (H) (EUR) -3,01% +3,49% -2,86% -7,42% -13,26% -18,70% -18,89% -13,20%
Schroder International Selection Global Dividend Maximiser A Inc USD (USD) -3,24% +3,71% -1,14% -4,26% -5,78% -4,81% -8,27% -6,94%
Schroder International Selection Global Dividend Maximiser A1 Acc USD (USD) -1,77% +5,32% +0,49% -1,16% +4,46% +4,95% +4,58% +13,16%
Schroder International Selection Global Dividend Maximiser A1 Inc EUR (H) (EUR) -3,08% +3,44% -2,99% -7,70% -13,78% -19,37% -19,76% -14,49%
Schroder International Selection Global Dividend Maximiser A1 Inc PLN (H) (PLN) -1,63% +5,69% -3,10% -7,17% -11,26% -19,42% -17,72% -8,89%
Schroder International Selection Global Dividend Maximiser A1 Inc USD (USD) -3,54% +3,31% -1,29% -4,61% -6,48% -5,73% -9,22% -8,44%
Data aktualizacji: 2019-10-22, Źródło danych: Notoria