Period Fund Benchmark
1 month
1.47 %
1.17 %
3 months
-7.54 %
-6.45 %
6 months
-7.99 %
-6.95 %
12 months
-16.30 %
-14.88 %
YTD
-17.03 %
-15.32 %
2 years
-10.88 %
-5.59 % per year
-10.43 %
-5.35 % per year
3 years
-11.90 %
-4.13 % per year
-7.50 %
-2.56 % per year
4 years
-5.84 %
-1.49 % per year
0.61 %
0.15 % per year
5 years
-10.36 %
-2.16 % per year
-1.74 %
-0.35 % per year
Since launch (24/07/2000)
68.87 %
2.38 % per year
96.65 %
3.08 % per year
The return is stated in percentage of the fund’s denomination currency EUR before tax and before investor’s own issue and redemption costs, but less administrative and transaction costs of the fund.
Updated 31/10/2022- Source: Jyske Invest

Benchmark

65% JPM GBI Global Total Return Level Hedged EUR
20% MSCI World Net Total Return EUR Idx
7.5% ICE BofAML Blended High Yield bonds (Hedged EUR)
7.5% JPM EMBI Global Diversified Hedged EUR

The benchmark has applied since: 01.09.2021