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Columbia Seligman Technology and Information Fund Advisor Class (SCIOX)

Nasdaq - Nasdaq Precio retrasado. Divisa en USD.
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86.50-0.52 (-0.60%)
Al cierre: 08:00PM EDT

Información general del desempeño

Índice de retornos de MorningstarN/D1
Retorno anual acumulado8.78%
Retorno promedio a 5 años13.60%
Número de años al alza10
Número de años a la baja3
Mejor retorno total a 1 año (14 mar 2023)54.33%
Peor retorno total en 1 año (14 mar 2023)N/D
Mejor retorno total a 3 años54.33%
Peor retorno total en 3 años5.52%

Últimos retornos (%) vs. índices de referencia

RetornoSCIOXCategoría
AIF8.78%12.31%
1 mes-7.25%6.23%
3 meses5.39%8.63%
1 año-9.98%53.90%
3 años22.42%27.50%
5 años13.60%28.80%
10 años18.33%18.74%
Último mercado alcista62.91%24.03%
Último mercado bajista-21.02%-20.41%

Historial del rendimiento total anual (%)

Año
SCIOXCategoría
2022
-31.47%N/D
2021
37.69%N/D
2020
44.03%55.91%
2019
52.13%37.49%
2018
-6.62%-3.21%
2017
25.39%35.35%
2016
14.88%10.84%
2015
7.00%5.21%
2014
23.96%12.55%
2013
21.33%35.45%
2012
6.62%13.08%
2011
7.13%-7.62%
2010
38.73%20.00%
2009
59.86%61.99%
2008
-36.52%-45.33%
2007
14.92%16.12%
2006
21.80%7.08%
2005
7.36%5.76%
2004
10.57%4.24%
2003
42.26%55.77%
2002
-36.78%-42.86%
2001
3.58%-36.89%
2000
-37.50%-31.36%
1999
74.52%129.22%
1998
33.92%51.99%
1997
22.95%11.81%
1996
11.94%19.91%
1995
43.39%41.11%
1994
35.30%14.70%
1993
35.12%22.10%
1992
17.31%11.17%
1991
54.90%44.52%
1990
-10.98%-1.37%
1989
29.99%22.32%
1988
7.23%5.17%
1987
15.13%7.09%
1986
16.64%7.77%
1985
34.16%22.50%
1984
-10.55%-9.81%
1983
N/D31.29%

Retornos del último trimestre (%)

AñoT1T2T3T4
2022-10.12%-20.84%-7.03%5.17%
202112.28%9.88%-2.68%17.10%
2020-19.48%31.87%6.65%28.95%
201922.77%3.15%5.65%16.49%
20185.70%0.72%3.78%-15.48%
201715.24%3.48%10.22%3.27%
20162.65%-2.95%14.65%2.36%
20154.57%4.73%-9.17%11.17%
20146.23%9.15%2.50%7.56%
20136.61%1.13%6.66%8.76%
201222.84%-11.96%1.85%-1.21%
20114.62%-0.56%-14.67%8.64%
20102.88%-10.93%14.33%11.53%
200910.27%15.45%15.47%9.17%
2008-13.69%6.85%-12.32%-21.50%
20071.62%8.38%5.98%-1.55%
200612.39%-6.91%7.67%8.13%
2005-6.33%2.65%10.15%1.37%
20046.00%0.08%-11.60%17.90%
2003-2.66%25.43%3.60%12.48%
2002-5.24%-24.81%-21.42%12.93%
2001-7.71%21.33%-30.96%33.97%
200015.85%-10.43%-15.27%-28.91%
1999-0.23%15.92%4.31%44.67%
199812.99%-2.09%-16.56%45.10%
1997-2.59%17.21%24.85%-13.74%
1996-5.37%0.14%6.14%11.28%
199514.06%29.77%13.20%-14.42%
19944.39%-7.70%29.75%8.22%
19931.38%12.51%15.47%2.59%
19923.28%-10.13%0.37%25.91%
199135.17%-11.68%14.73%13.09%
19905.54%8.16%-31.14%13.23%
19898.24%9.45%12.32%-2.31%
19882.84%6.96%-6.15%3.87%
198729.68%2.98%9.20%-21.05%
198614.41%10.86%-12.46%5.05%
198510.82%7.58%-4.03%17.25%
1984-15.75%-0.28%6.33%0.13%
1983-1.53%-5.22%N/DN/D

Rango en categoría (por retorno total)

AIF51
1 mes51
3 meses65
1 año30
3 años9
5 años12

Retornos ajustados por comisiones

1 año-13.59%
3 años18.28%
5 años15.56%
10 años18.79%