JPMorgan Funds Taiwan Fund A USD
Cumulatieve rendementen in % in EUR
Periode |
USD |
EUR |
sinds 1-1-2024
|
+5,31%
|
+7,78%
|
1 Maand |
-0,39%
|
-1,71% |
3 Maanden |
+8,40%
|
+7,90% |
6 Maanden |
+18,85%
|
+18,06% |
Geannualiseerde rendementen in % in EUR
Periode |
USD |
EUR |
1 Jaar |
+27,16%
|
+28,29% |
2 Jaar |
+23,98%
|
+9,21% |
5 Jaar |
+96,12%
|
+15,32% |
10 Jaar |
+132,75%
|
+11,45% |
Rendement per kwartaal
|
Q1 |
Q2 |
Q3 |
Q4 |
2019 |
+16,11% |
-3,35% |
+7,84% |
+10,05% |
2020 |
-15,10% |
+26,40% |
+2,42% |
+15,12% |
2021 |
+14,72% |
+7,88% |
+2,28% |
+13,59% |
2022 |
-11,10% |
-17,28% |
-6,66% |
-1,14% |
2023 |
+11,80% |
+3,22% |
-0,66% |
+11,49% |
Dividend
Datum Ex-Dividend |
Bruto Dividend |
Betaaldatum |
13-9-2023 |
0,52 |
27-9-2023 |
14-9-2022 |
0,27 |
28-9-2022 |
9-9-2021 |
0,04 |
27-9-2021 |
10-9-2020 |
0,28 |
24-9-2020 |
5-9-2019 |
0,35 |
19-9-2019 |
5-9-2018 |
0,14 |
19-9-2018 |
12-9-2017 |
0,21 |
28-9-2017 |
1-9-2016 |
0,33 |
26-9-2016 |
16-9-2015 |
0,41 |
30-9-2015 |
17-9-2014 |
0,13 |
30-9-2014 |
13-9-2013 |
0,22 |
30-9-2013 |
13-9-2012 |
0,23 |
27-9-2012 |
15-9-2011 |
0,21 |
29-9-2011 |
16-9-2010 |
0,04 |
30-9-2010 |
2-9-2009 |
0,96 |
22-9-2009 |
2-9-2008 |
0,78 |
18-9-2008 |
10-9-2007 |
0,87 |
28-9-2007 |
8-9-2006 |
0,94 |
22-9-2006 |
14-9-2005 |
0,79 |
14-9-2005 |
8-9-2004 |
0,71 |
21-9-2004 |
23-9-2003 |
|
|
20-9-2002 |
|
|