BNP Paribas Funds Sustainable Multi-Asset Balanced Privilege EUR Acc
- -Patrimonio investito dagli investitori locali
ISIN: LU1956155359
Categoria Morningstar: EUR Moderate Allocation - Global
Società: BNP Paribas Asset Management
ISIN: LU1956155359
Categoria Morningstar: EUR Moderate Allocation - Global
Società: BNP Paribas Asset Management
Increase the value of its assets over the medium term by investing directly and/or indirectly (through UCITS, UCIs, or ETFs) in bonds or shares of issuers selected based on their practices and activities linked to sustainable development. This sub-fund invests directly or indirectly (through funds, i.e. UCITS, UCIs, or ETFs) in bonds or shares of issuers selected based on the best-inclass approach (which selects issuers that demonstrate superior social and environmental responsibility, while implementing robust corporate governance practices within their sector of activity) and/or sustainable thematic approach.
Rendimento annuo | 1 anno | 3 anni | 5 anni | Inizio | 2022 | 2021 | 2020 | 2019 | 2018 |
---|---|---|---|---|---|---|---|---|---|
Rendimento annuo: Fondo | 1 anno: -4,87 | 3 anni: 4,84 | 5 anni: - | Inizio: 4,41 | 2022: -6,28 | 2021: 10,77 | 2020: 5,34 | 2019: - | 2018: - |
Rendimento annuo: Categoria | 1 anno: -6,45 | 3 anni: 2,80 | 5 anni: 2,44 | Inizio: - | 2022: -8,01 | 2021: 9,41 | 2020: 2,37 | 2019: 12,53 | 2018: -6,88 |
Rendimento annuo: Percentile | 1 anno: 32,00 | 3 anni: 15,00 | 5 anni: - | Inizio:- | 2022: 26,00 | 2021: 38,00 | 2020: 22,00 | 2019: - | 2018: - |
Rischio | Volatilità | Sharpe Ratio | Correlazione | Beta | Alfa | Tracking error | Info Ratio |
---|---|---|---|---|---|---|---|
Rischio: 3 anni | 1 Volatilità: 10,55 | 3 Sharpe Ratio: 0,51 | 5 Correlazione: 97,97 | Beta: 1,12 | Alfa: -0,44 | Tracking error: 2,41 | Info Ratio: 0,03 |