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Fidelity Funds - Euro Bond Fund - A EUR ACC ISIN: LU0251130638 KAG: FIL Investment Management (Luxembourg) S.à.r.l.
  1M 3M 6M lfd. Jahr 1J 3J p.a. * 5J p.a. * 10J p.a. * seit Beginn / p.a. *
Performance: -0,20% -0,85% -1,10% -0,78% -0,13% 2,89% -2,40% -0,09% 52,40% / 2,15%
Volatilität: 5,53% 4,31% 3,42% 4,05% 3,15% 5,29% 6,64% 5,21% 4,42%
Sharpe Ratio: - - - - - 0,16 - - -
pos. Monate (%): - 33,33% 33,33% 33,33% 41,67% 55,56% 50,00% 54,17% 60,42%
Max. Verlust: -1,05% -2,57% -2,57% -2,57% -2,57% -5,17% -23,01% -23,49% -23,49%
Beta: 1,36 1,38 1,44 1,37 1,48 2,22 2,04 1,81 -
  2026 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016
Jan 0,26% -0,20% -0,27% 3,02% -1,51% -0,40% 2,05% 1,49% 0,06% -1,93% 1,07%
Feb 0,91% 0,46% -1,81% -2,93% -0,95% -1,48% 0,12% 0,45% 0,00% 1,71% 0,33%
Mär -1,99% -2,40% 1,71% 1,66% -4,45% -0,35% -2,07% 1,72% 0,96% -0,13% 1,45%
Apr 0,46% 1,73% -1,81% 0,21% -3,99% -1,50% 3,09% 0,75% -0,13% 0,52% -0,32%
Mai - -0,13% -0,20% 0,28% -1,92% -0,29% -0,18% 0,25% -1,52% 0,45% 0,78%
Jun - -0,26% 1,03% -1,55% -3,93% 0,53% 1,06% 2,42% -0,19% 0,00% 0,65%
Jul - -0,26% 3,06% 0,86% 5,11% 1,98% 1,64% 1,15% 0,58% 0,39% 1,47%
Aug - -0,07% -0,20% 0,36% -7,07% -0,74% -0,58% 1,73% -0,96% 0,26% 0,38%
Sep - 0,20% 1,78% -1,86% -4,88% -1,15% 0,70% -0,82% 0,45% -0,32% 0,13%
Okt - 0,52% -2,25% 0,44% 0,29% -0,81% 0,69% -0,71% -0,45% 0,83% -1,51%
Nov - 0,39% 2,43% 3,39% 3,45% 2,29% 0,69% -0,60% -0,90% 0,13% -1,73%
Dez - -0,07% -1,60% 3,67% -4,54% -1,32% 0,23% -0,72% 0,85% -0,95% 1,57%
Berechnungsbasis: 17.04.2026
* annualisierte Berechnung bezieht sich ausschließlich auf Performance