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Santander PB Moderate Portfolio FI (0P0000RVE0.F)

Frankfurt - Frankfurt Delayed price. Currency in EUR
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102.89-0.10 (-0.10%)
As of 10:00PM CEST. Market open.

Performance overview

Morningstar return ratingN/A1
Year-to-date return2.05%
5-year average return0.07%
Number of years up9
Number of years down4
Best 1-yr total return (17 May 2024)5.10%
Worst 1-yr total return (17 May 2024)N/A
Best 3-yr total return5.10%
Worst 3-yr total return-2.41%

Trailing returns (%) vs. Benchmarks

Time periods longer than one year are annualised.
Return0P0000RVE0.FCategory
YTD1.03%0.00%
1-month-0.89%0.00%
3-month0.53%0.00%
1-year4.95%0.00%
3-year-1.15%0.00%
5-year-0.20%0.00%
10-year-0.14%0.00%
Last bull market0.00%0.00%
Last bear market0.00%0.00%

Annual total return (%) history

Year
0P0000RVE0.FCategory
2024
N/AN/A
2023
5.10%N/A
2022
-11.26%N/A
2021
4.20%N/A
2020
0.51%N/A
2019
2.85%N/A
2018
-3.26%N/A
2017
0.02%N/A
2016
-0.04%N/A
2015
0.03%N/A
2014
1.39%N/A
2013
1.21%N/A
2012
3.28%N/A
2011
-0.93%N/A

Past quarterly returns (%)

YearQ1Q2Q3Q4
20241.93%N/AN/AN/A
20231.02%0.71%-0.59%3.92%
2022-4.62%-5.58%-0.93%-0.55%
20211.28%1.35%0.28%1.23%
2020-6.40%2.74%1.65%2.82%
20191.95%0.55%0.21%0.13%
2018-1.00%-0.08%-0.08%-2.14%
20170.36%-0.22%0.01%-0.12%
2016-0.73%-0.00%0.53%0.17%
20151.83%-0.88%-1.37%0.48%
20140.93%0.44%0.12%-0.10%
20130.49%-1.14%0.82%1.04%
20121.40%-0.41%1.06%1.20%
20110.59%-0.16%-3.27%1.97%

Rank in category (by total return)

YTD47
1-month57
3-month55
1-year58
3-year69
5-year78

Load adjusted returns

1-year4.95%
3-year-1.15%
5-year-0.20%
10-year-0.14%