Performance scenarios

Danske Invest Emerging Markets Debt Fund G (AIF)

Date


Recommended holding period: 3 years
Example Investment: EUR 10,000
If you exit after
1 year
If you exit after
2 years
If you exit after
3 years
Stress What you might get back after costs EUR 4,064 EUR 5,575 EUR 4,826
Average return each year -59.4 % -44.3 % -51.7 %
Unfavourable What you might get back after costs EUR 7,079 EUR 7,453 EUR 7,354
Average return each year -29.2 % -25.5 % -26.5 %
Moderate What you might get back after costs EUR 10,288 EUR 10,411 EUR 10,884
Average return each year 2.9 % 4.1 % 8.8 %
Favourable What you might get back after costs EUR 11,744 EUR 12,180 EUR 12,197
Average return each year 17.4 % 21.8 % 22 %
Unfavourable scenario: This type of scenario occurred for an investment between 31.10.2019 and 31.10.2022.
Moderate scenario: This type of scenario occurred for an investment between 31.08.2016 and 31.08.2019.
Favourable scenario: This type of scenario occurred for an investment between 31.12.2014 and 31.12.2017.



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