BI SICAV - Global Emerging Markets Equities SRI I

Return & risk

Return
(%) Latest
month
Year-to-
date
Start-to-date
p.a. 
1 year 3 years 5 years 7 years 10 years
Fund 4.8 3.9 2.7 5.5 1.7 -0.2 - -
Benchmark: 5.2 2.6 6.1 4.4 3.4 3.0 4.8 14.2

Benchmark: MSCI Emerging Markets incl.net dividends.

Return chart
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Benchmark data is updated up to and including 05/21/2013. The graph is updated at the beginning of each week, as BankInvest calculates benchmark returns on a weekly basis.

Risk fluctuation

The graph illustrates returns over the last 10 years (or since inception). The bars show how a 1-year-old, 3-year-old or 5-year-old investment would have developed, had it been invested at the best and the worst moment (top and buttom of each bar). The graph provides an idea of the needed investment horizon in order for the return fluctuations to become acceptable to the investor.

Advanced key figures
Period 1 year 3 years 5 years 7 years 10 years
Sharpe ratio 0.45 0.04 -0.09 - -
Information ratio 0.36 -0.43 -0.76 - -
Tracking error (%) 3.02 4.00 4.19 - -
Standard deviation p.a. (%) 11.02 15.69 22.69 - -

All key figures are calculated on daily observations. The stated standard deviations are calculated on daily observation, but stated per annum.

Background data
ISIN code LU0253263262
Start date October, 2006
Status Quoted
Currency EURO
Fund assets (mill. EUR) 12
Risk profile
Risk profile 6


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