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BNP Paribas Indice France ESG Classic D (0P00000PQ3.F)

Frankfurt - Frankfurt Delayed price. Currency in EUR
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435.28-2.27 (-0.52%)
As of 10:00PM CEST. Market open.

Performance overview

Morningstar return ratingN/A1
Year-to-date return10.73%
5-year average return10.01%
Number of years up23
Number of years down9
Best 1-yr total return (16 May 2024)30.54%
Worst 1-yr total return (16 May 2024)N/A
Best 3-yr total return30.54%
Worst 3-yr total return0.53%

Trailing returns (%) vs. Benchmarks

Time periods longer than one year are annualised.
Return0P00000PQ3.FCategory
YTD6.42%0.00%
1-month-1.98%0.00%
3-month4.51%0.00%
1-year8.18%0.00%
3-year9.59%0.00%
5-year8.75%0.00%
10-year7.79%0.00%
Last bull market0.00%0.00%
Last bear market0.00%0.00%

Annual total return (%) history

Year
0P00000PQ3.FCategory
2024
N/AN/A
2023
20.04%N/A
2022
-10.74%N/A
2021
30.54%N/A
2020
-6.10%N/A
2019
29.02%N/A
2018
-9.11%N/A
2017
11.46%N/A
2016
7.68%N/A
2015
10.84%N/A
2014
1.66%N/A
2013
21.03%N/A
2012
19.08%N/A
2011
-14.30%N/A
2010
-0.45%N/A
2009
26.62%N/A
2008
-40.79%N/A
2007
3.03%N/A
2006
19.53%N/A
2005
25.24%N/A
2004
10.68%N/A
2003
16.74%N/A
2002
-33.74%N/A
2001
-21.97%N/A
2000
1.04%N/A
1999
51.13%N/A
1998
37.11%N/A
1997
26.24%N/A
1996
26.14%N/A
1995
0.47%N/A
1994
-17.09%N/A
1993
25.66%N/A
1992
8.89%N/A
1991
N/AN/A

Past quarterly returns (%)

YearQ1Q2Q3Q4
20248.57%N/AN/AN/A
202314.92%4.07%-5.33%6.02%
2022-8.04%-10.34%-2.85%11.43%
20219.30%8.78%0.05%9.75%
2020-26.35%13.14%-2.38%15.43%
201913.10%5.88%2.45%5.17%
2018-2.78%5.34%2.94%-13.78%
20175.31%2.05%4.01%-0.29%
2016-5.36%-0.87%4.93%9.38%
201517.77%-2.85%-7.05%4.23%
20142.16%2.97%-0.22%-3.14%
20132.49%2.61%10.78%3.88%
20128.27%-3.85%5.35%8.58%
20114.59%2.65%-24.88%6.28%
20100.74%-10.94%7.97%2.76%
2009-12.85%15.51%20.86%4.08%
2008-16.33%-3.22%-9.13%-19.53%
20071.42%9.75%-5.80%-1.75%
200610.41%-2.76%5.48%5.55%
20056.18%6.10%8.48%2.47%
20043.54%4.79%-2.77%4.90%
2003-12.13%18.23%2.83%9.28%
20020.37%-16.42%-25.52%6.06%
2001-12.77%0.31%-21.05%12.96%
20006.63%3.40%-2.82%-5.70%
19997.02%8.87%0.22%29.42%
199833.29%12.03%-22.16%17.96%
199714.94%10.35%4.56%-4.81%
19968.96%6.11%-0.84%10.03%
1995-2.46%0.00%-4.15%7.46%
1994-9.79%-7.09%-1.10%0.03%
19938.85%-1.66%4.48%12.36%
199212.05%1.02%-3.48%-0.33%
19916.63%-7.85%N/AN/A

Rank in category (by total return)

YTD27
1-month56
3-month39
1-year38
3-year20
5-year23

Load adjusted returns

1-year5.91%
3-year8.82%
5-year8.29%
10-year7.56%