1.95700 GBp
0.002
0.10%
Last update Dec 12, 8:00 AM GMT
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1.95900
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ASI Global Inflation-Linked Bond Fund Institu...
1.96
0.00
0.10%

Performance

Trailing returns

Period Return Category Rank
ytd 0.050 0 64
1 month 0.004 0 6
3 months 0.024 0 5
1 year 0.029 0 64
3 years 0.017 0 64
5 years -0.015 0 79
10 years 0.014 0

Annual total returns

Year Return Category
2025
2024 -0.007
2023 0.031
2022 -0.179
2021 0.042
2020 0.087
2019 0.064
2018 -0.016
2017 0.018
2016 0.100
2015 -0.010
2014 0.087
2013 -0.055
2012 0.051
2011 0.128
2010 0.054
2009 0.092
2008 0.020
2007 0.077
2006 0.007
2005 0.066
2004

Quarterly total returns

Year Q1 Q2 Q3 Q4
2025 0.018 0.008 0.007
2024 -0.008 0.001 0.028 -0.027
2023 0.031 -0.025 -0.029 0.058
2022 -0.031 -0.105 -0.059 0.007
2021 -0.028 0.026 0.017 0.027
2020 0.010 0.049 0.013 0.012
2019 0.038 0.023 0.033 -0.030
2018 -0.002 -0.002 -0.013 0.001
2017 0.005 -0.006 0.001 0.017
2016 0.041 0.044 0.048 -0.035
2015 0.031 -0.035 0.007 -0.012
2014 0.024 0.028 0.007 0.025
2013 0.018 -0.060 0.000 -0.012
2012 0.005 0.020 0.008 0.018
2011 0.017 0.034 0.033 0.039
2010 0.008 0.027 0.036 -0.017
2009 0.024 0.012 0.036 0.017
2008 0.038 0.012 -0.003 -0.026
2007 0.010 -0.015 0.039 0.042
2006 -0.014 -0.007 0.045 -0.015
2005 0.002 0.040 0.020 0.004
2004 0.040 0.031

Load adjusted returns

Year Return
1 year 0.029
3 years 0.017
5 years -0.015
10 years 0.014
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