The AXA World Funds Emerging Markets Short Duration Bonds (LU0800573262) signed the NAV on 22nd Jun at 96.01 EUR with a daily change of -0.07%.

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

AI sold the Fund at 112.4 on 4th Nov 2021 losing -0.35%.
The Fund is at the main cycle low at 6 o'clock from 6th Apr.

The AI system, in the 2285 market days analysed, identified 9 operations for the Fund. The average change in positive trades (6.07%) was higher than negative trades (-0.39%) at a ratio of 15.4 to 1 and the overall average change is 3.2%
Updated at 23rd Jun - 20:03:46

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YearYearlyJanFebMarAprMayJunJulAugSepOctNovDec
2022                        
2021-1.84%-0.45%0.17%-1.08%0.63%0.32%0.19%-0.36%0.50%-0.91%-0.61%-0.26%
202012.84%1.11%-1.16%-3.00%3.19%3.90%2.63%1.58%0.99%-0.49%0.37%2.19%1.04%
20194.96%1.25%0.36%0.52%0.28%0.07%1.73%0.29%-1.41%0.46%0.52%0.05%0.75%
2018-1.28%-0.23%-0.69%-0.37%
20172.97%0.73%0.81%0.43%0.28%-0.18%0.42%0.48%0.15%0.05%-0.10%-0.12%
20164.94%1.37%1.32%0.39%0.91%0.69%0.62%0.31%-0.01%-1.34%0.60%
20150.18%-1.24%1.26%0.37%1.42%0.51%-0.49%-0.05%-0.97%-0.60%
20142.43%-0.30%1.30%0.42%0.57%1.61%0.50%0.20%-0.09%-0.99%0.33%-1.12%0.02%
20133.30%0.15%0.87%-1.09%-0.17%1.26%-0.63%1.04%1.49%-0.11%0.49%
YearYearlyJanFebMarAprMayJunJulAugSepOctNovDec
2022-13.77%-1.68%-5.28%-2.67%-1.57%-0.62%-2.75%                        
2021-3.18%-0.45%0.17%-1.08%0.63%0.32%0.19%-0.36%0.50%-0.91%-1.03%-1.30%0.10%
20202.13%1.11%-1.16%-12.85%3.95%3.90%2.63%1.58%0.99%-0.49%0.37%2.19%1.04%
20195.99%2.24%0.36%0.52%0.28%0.07%1.73%0.29%-1.41%0.46%0.52%0.05%0.75%
2018-3.28%-0.23%-0.72%-0.32%-0.63%-0.73%-0.53%0.59%-0.99%0.82%-0.30%-0.59%0.32%
20172.97%0.73%0.81%0.43%0.28%-0.18%0.42%0.48%0.15%0.05%-0.10%-0.12%
20166.17%-0.10%0.72%1.93%1.32%0.39%0.91%0.69%0.62%0.31%-0.01%-1.34%0.60%
2015-0.90%-1.24%1.26%0.37%1.42%0.51%-0.49%-0.05%-1.73%-1.11%1.54%-0.20%-1.12%
20140.15%-0.30%1.30%0.42%0.57%1.61%0.50%0.20%-0.09%-0.99%0.33%-0.80%-2.52%
20131.20%-0.21%0.55%0.15%0.87%-1.09%-2.90%1.64%-0.63%1.04%1.49%-0.11%0.49%
YearYearlyJanFebMarAprMayJunJulAugSepOctNovDec
202213.77%1.68%5.28%2.67%1.57%0.62%2.75%                        
20211.34%                                    0.42%1.04%    
202010.71%        9.85%                                    
2019                                                    
20182.00%    0.03%    0.63%0.73%0.53%    0.99%    0.30%0.59%    
2017                                                    
2016    0.10%                                            
20151.08%                            0.76%0.51%    0.20%1.12%
20142.28%                                            2.54%
20132.10%0.21%                2.73%                        


Signals
DateSignalPriceProfitDays
04.11.2021Sold112.4-0.35%13
22.10.2021Bought112.79
06.10.2021Sold113.2714.66%553
01.04.2020Bought98.79
10.03.2020Sold109.151.74%419
16.01.2019Bought107.28
21.03.2018Sold108.4-0.37%23
26.02.2018Bought108.8
09.02.2018Sold108.837.06%707
04.03.2016Bought101.65
25.09.2015Sold100.68-0.60%22
03.09.2015Bought101.29
19.08.2015Sold102.180.81%233
29.12.2014Bought101.36
20.11.2014Sold103.676.07%505
03.07.2013Bought97.74
03.06.2013Sold100.11-0.26%103
20.02.2013Bought100.37