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Selected International S (SLSSX)

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11.25+0.15 (+1.35%)
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Información general del desempeño

Índice de retornos de MorningstarN/D1
Retorno anual acumulado7.98%
Retorno promedio a 5 años0.20%
Número de años al alza32
Número de años a la baja23
Mejor retorno total a 1 año (1 jul 2024)44.21%
Peor retorno total en 1 año (1 jul 2024)N/D
Mejor retorno total a 3 años44.21%
Peor retorno total en 3 años-10.01%

Últimos retornos (%) vs. índices de referencia

Los periodos superiores a 1 año se anualizan.
RetornoSLSSXCategoría
AIF10.89%9.07%
1 mes3.73%-1.09%
3 meses12.65%5.12%
1 año22.46%33.76%
3 años-7.11%8.50%
5 años2.32%10.08%
10 años2.17%5.80%
Último mercado alcista13.49%14.90%
Último mercado bajista-6.06%-23.70%

Historial del rendimiento total anual (%)

Año
SLSSXCategoría
2024
N/DN/D
2023
3.74%N/D
2022
-10.01%N/D
2021
-21.94%N/D
2020
20.77%9.30%
2019
27.15%21.59%
2018
-22.27%-14.59%
2017
38.22%25.12%
2016
-0.29%0.79%
2015
-0.70%-1.59%
2014
-0.66%-4.98%
2013
21.78%19.44%
2012
18.29%18.29%
2011
-22.49%-13.97%
2010
13.73%10.24%
2009
44.21%31.24%
2008
-44.72%-43.99%
2007
-1.27%12.71%
2006
17.74%24.77%
2005
8.45%14.72%
2004
11.34%17.39%
2003
41.40%33.58%
2002
-17.62%-16.69%
2001
-14.41%-21.67%
2000
-1.10%-16.34%
1999
16.83%40.28%
1998
24.52%12.72%
1997
26.90%5.49%
1996
11.86%12.44%
1995
34.24%10.24%
1994
-2.46%-1.07%
1993
10.70%35.90%
1992
8.43%-4.86%
1991
25.59%13.09%
1990
-6.87%-10.94%
1989
28.91%20.25%
1988
19.49%14.97%
1987
0.50%8.70%
1986
7.34%46.88%
1985
23.99%40.82%
1984
-4.79%-1.47%
1983
28.02%28.45%
1982
16.80%9.37%
1981
-7.41%2.47%
1980
24.07%23.93%
1979
31.66%19.57%
1978
4.39%13.36%
1977
-5.03%-3.32%
1976
15.72%13.54%
1975
-43.09%27.34%
1974
-17.34%-28.59%
1973
-20.86%-24.38%
1972
-1.46%4.89%
1971
13.41%9.66%
1970
-11.18%-16.77%
1969
-14.87%-3.26%
1968
N/D14.90%

Retornos del último trimestre (%)

AñoT1T2T3T4
20243.21%3.68%N/DN/D
20232.09%0.78%-4.34%5.41%
2022-9.72%-6.06%-12.59%21.39%
20211.07%-1.66%-17.94%-4.30%
2020-20.38%19.30%8.47%17.23%
201916.94%0.74%-1.62%9.72%
2018-0.35%-0.69%-5.67%-16.73%
201711.58%8.66%8.37%5.20%
2016-3.05%0.30%9.91%-6.70%
20152.34%6.85%-13.16%4.57%
20143.21%4.41%-4.97%-3.00%
20133.25%-2.31%15.13%4.87%
201212.80%-7.98%5.25%8.27%
20113.91%-6.41%-25.15%6.48%
20103.07%-12.10%10.27%13.84%
2009-4.56%22.65%15.58%6.59%
2008-12.68%-4.84%-11.55%-24.78%
2007-0.43%7.18%-0.80%-6.74%
20068.58%-2.66%3.64%7.48%
2005-0.24%1.45%4.69%2.36%
20043.93%-0.90%-3.40%11.91%
2003-5.34%23.31%6.77%13.46%
20024.67%-11.28%-19.08%9.64%
2001-10.08%2.57%-18.14%13.36%
20009.15%-3.97%6.49%-11.40%
1999-1.87%8.61%-8.19%19.39%
199814.01%4.23%-14.63%22.74%
1997-7.00%18.96%16.46%-1.50%
19965.07%2.63%2.39%1.31%
19958.01%10.42%13.68%-0.98%
1994-4.51%-2.05%5.24%-0.91%
19931.25%1.42%9.82%-1.85%
19923.74%-7.20%2.66%9.72%
199119.03%-2.23%0.76%7.10%
1990-1.01%6.60%-18.95%8.89%
19897.04%10.75%8.02%0.67%
198814.82%4.70%-0.31%-0.30%
198724.49%2.03%5.79%-25.21%
19868.49%4.04%-4.47%-0.46%
19858.55%3.89%-1.39%11.50%
1984-4.47%-5.64%5.26%0.34%
198315.93%11.85%-2.54%1.30%
1982-11.39%-5.82%14.48%22.27%
19811.32%-3.02%-13.61%9.08%
1980-9.15%15.37%12.55%5.17%
197910.95%6.38%8.04%3.25%
1978-1.98%8.38%5.84%-7.15%
1977-7.44%2.11%0.00%0.48%
197612.19%1.20%-0.44%2.38%
19759.50%17.35%-13.10%-49.03%
1974-8.32%-10.52%-18.48%23.60%
1973-15.32%-10.10%10.11%-5.58%
1972-7.28%2.91%N/DN/D
197116.64%-2.00%-1.26%0.49%
1970-9.22%-22.27%16.88%7.70%
1969-8.84%-10.38%2.23%1.93%
196821.46%3.89%N/DN/D

Rango en categoría (por retorno total)

AIF6
1 mes81
3 meses1
1 año9
3 años100
5 años99

Retornos ajustados por comisiones

1 año22.46%
3 años-7.11%
5 años2.32%
10 años2.17%