The Ashmore Emerging Markets Corporate Debt fund (LU0860716066) signed the NAV on 22nd Jun at 58.95 USD with a daily change of -0.36%.

The Fund's five-year performance is mostly lack.
With the last NAV the fund hit an all time low.

AI sold the Fund at 79.1 on 8th Nov 2021 losing -0.04%.
The Fund is at the main cycle low at 6 o'clock from 7th Apr.

The AI system, in the 2218 market days analysed, identified 8 operations for the Fund. The average change in positive trades (10.69%) was higher than negative trades (-1.08%) at a ratio of 9.9 to 1 and the overall average change is 3.34%
Updated at 24th Jun - 19:47:39

TAGS:



YearYearlyJanFebMarAprMayJunJulAugSepOctNovDec
2022                        
2021-3.83%-1.36%0.60%-1.16%0.73%0.59%0.14%-1.96%0.63%-2.02%-0.04%
202023.60%-0.07%-1.40%-0.08%3.00%5.65%4.07%3.28%1.32%-1.44%0.31%4.23%2.79%
2019
2018-2.36%1.04%-2.59%-0.78%
20175.76%3.23%0.42%-1.99%2.16%-0.02%-1.10%1.26%1.25%0.87%0.44%-0.90%0.12%
20165.12%1.97%0.64%1.51%-0.18%1.11%
2015
20140.92%1.10%-1.37%2.47%0.97%-1.26%-0.93%
2013-2.08%                    -0.48%-1.60%
YearYearlyJanFebMarAprMayJunJulAugSepOctNovDec
2022-23.39%-3.47%-8.47%-3.41%-2.86%-2.59%-5.13%                        
2021-10.62%-1.36%0.60%-1.16%0.73%0.59%0.14%-1.96%0.63%-2.58%-3.16%-2.72%-0.81%
20200.37%1.43%-1.40%-20.06%3.00%5.65%4.07%3.28%1.32%-1.44%0.31%4.23%2.79%
20192.98%2.34%-0.42%-0.27%0.98%-0.56%1.92%0.51%-3.43%0.94%0.72%-0.95%1.30%
2018-10.14%1.04%-2.46%-0.90%-0.46%-3.33%-1.47%1.88%-2.16%1.20%-0.49%-2.14%-1.22%
20175.76%3.23%0.42%-1.99%2.16%-0.02%-1.10%1.26%1.25%0.87%0.44%-0.90%0.12%
201610.50%-4.93%0.05%3.86%1.98%0.11%1.46%3.31%1.38%0.64%1.51%-0.18%1.11%
2015-11.42%-1.94%1.06%0.99%5.47%0.79%-2.18%-1.93%-5.08%-3.68%1.70%-0.93%-5.77%
2014-10.95%-0.83%0.48%0.33%-1.37%2.47%0.97%-1.65%-1.73%-2.09%0.20%-2.35%-5.73%
20130.02%                    1.13%-1.77%0.85%1.43%-0.73%-0.85%
YearYearlyJanFebMarAprMayJunJulAugSepOctNovDec
202223.39%3.47%8.47%3.41%2.86%2.59%5.13%                        
20216.79%                                0.56%3.16%2.68%0.81%
202023.23%        19.98%                                    
2019        0.42%0.27%    0.56%        3.43%        0.95%    
20187.78%        0.90%0.46%2.55%1.47%    2.16%    0.49%2.14%1.22%
2017                                                    
2016    4.93%                        0.59%                
201511.42%1.94%                2.18%1.93%5.08%3.68%    0.93%5.77%
201411.87%0.83%    0.77%            0.39%1.73%1.16%    2.35%5.73%
2013                                0.17%        0.73%0.85%


Signals
DateSignalPriceProfitDays
08.11.2021Sold79.1-0.04%6
02.11.2021Bought79.13
21.09.2021Sold82.8220.78%539
31.03.2020Bought68.57
02.03.2020Sold85.71-1.55%47
15.01.2020Bought87.06
30.05.2018Sold87.41-0.78%12
18.05.2018Bought88.1
12.02.2018Sold91.229.42%560
01.08.2016Bought83.37
25.09.2014Sold97.72-0.93%15
10.09.2014Bought98.64
02.07.2014Sold101.291.87%99
25.03.2014Bought99.43
22.08.2013Sold100.03-2.08%29
24.07.2013Bought102.15