[M.FR.N.10.L30.A.8.Z5.0000.Z01.T] Equity funds, Investment fund shares/units, Total, Annual valuation rate
Updated on DBnomics on April 17, 2025 (5:35 AM)
- from
- 2010-12=8.876
- to
- 2025-02=11.22
- min:
- -15.678
- max:
- 40.483
- avg:
- 8.479
- σ:
- 10.932
Loading chart
Period | Value | [OBS_CONF] | [OBS_STATUS] |
---|---|---|---|
2010-12 | 8.876 | F | A |
2011-01 | 13.75 | F | A |
2011-02 | 15.394 | F | A |
2011-03 | 5.697 | F | A |
2011-04 | 8.279 | F | A |
2011-05 | 12.564 | F | A |
2011-06 | 12.702 | F | A |
2011-07 | NA | F | L |
2011-08 | NA | F | L |
2011-09 | NA | F | L |
2011-10 | NA | F | L |
2011-11 | NA | F | L |
2011-12 | NA | F | L |
2012-01 | NA | F | L |
2012-02 | NA | F | L |
2012-03 | NA | F | L |
2012-04 | NA | F | L |
2012-05 | NA | F | L |
2012-06 | NA | F | L |
2012-07 | -4.232 | F | A |
2012-08 | 8.47 | F | A |
2012-09 | 16.661 | F | A |
2012-10 | 9.03 | F | A |
2012-11 | 13.888 | F | A |
2012-12 | 14.771 | F | A |
2013-01 | 11.677 | F | A |
2013-02 | 8.209 | F | A |
2013-03 | 9.596 | F | A |
2013-04 | 14.336 | F | A |
2013-05 | 23.83 | F | A |
2013-06 | 14.77 | F | A |
2013-07 | 16.383 | F | A |
2013-08 | 13.23 | F | A |
2013-09 | 16.334 | F | A |
2013-10 | 20.361 | F | A |
2013-11 | 19.555 | F | A |
2013-12 | 18.482 | F | A |
2014-01 | 13.094 | F | A |
2014-02 | 16.619 | F | A |
2014-03 | 15.467 | F | A |
2014-04 | 14.615 | F | A |
2014-05 | 14.579 | F | A |
2014-06 | 19.707 | F | A |
2014-07 | 12.248 | F | A |
2014-08 | 16.115 | F | A |
2014-09 | 11.606 | F | A |
2014-10 | 5.873 | F | A |
2014-11 | 8.405 | F | A |
2014-12 | 6.886 | F | A |
2015-01 | 15.869 | F | A |
2015-02 | 18.455 | F | A |
2015-03 | 21.175 | F | A |
2015-04 | 20.295 | F | A |
2015-05 | 18.692 | F | A |
2015-06 | 14.731 | F | A |
2015-07 | 20.647 | F | A |
2015-08 | 9.186 | F | A |
2015-09 | 4.853 | F | A |
2015-10 | 15.04 | F | A |
2015-11 | 13.916 | F | A |
2015-12 | 9.958 | F | A |
2016-01 | -2.948 | F | A |
2016-02 | -10.706 | F | A |
2016-03 | -10.875 | F | A |
2016-04 | -9.846 | F | A |
2016-05 | -8.953 | F | A |
2016-06 | -9.331 | F | A |
2016-07 | -8.488 | F | A |
2016-08 | -0.057 | F | A |
2016-09 | 4.201 | F | A |
2016-10 | -3.524 | F | A |
2016-11 | -5.354 | F | A |
2016-12 | 3.627 | F | A |
2017-01 | 10.202 | F | A |
2017-02 | 15.709 | F | A |
2017-03 | 16.8 | F | A |
2017-04 | 17.866 | F | A |
2017-05 | 16.714 | F | A |
2017-06 | 19.693 | F | A |
2017-07 | 14.904 | F | A |
2017-08 | 13.421 | F | A |
2017-09 | 17.539 | F | A |
2017-10 | 19.99 | F | A |
2017-11 | 17.009 | F | A |
2017-12 | 11.933 | F | A |
2018-01 | 15.098 | F | A |
2018-02 | 8.322 | F | A |
2018-03 | 2.159 | F | A |
2018-04 | 4.047 | F | A |
2018-05 | 2.704 | F | A |
2018-06 | 3.545 | F | A |
2018-07 | 5.775 | F | A |
2018-08 | 5.261 | F | A |
2018-09 | 1.409 | F | A |
2018-10 | -7.24 | F | A |
2018-11 | -6.253 | F | A |
2018-12 | -12.023 | F | A |
2019-01 | -9.102 | F | A |
2019-02 | -3.238 | F | A |
2019-03 | 0.67 | F | A |
2019-04 | 0.71 | F | A |
2019-05 | -4.12 | F | A |
2019-06 | 1.119 | F | A |
2019-07 | -0.536 | F | A |
2019-08 | -0.733 | F | A |
2019-09 | 1.647 | F | A |
2019-10 | 10.166 | F | A |
2019-11 | 13.972 | F | A |
2019-12 | 23.499 | F | A |
2020-01 | 15.554 | F | A |
2020-02 | 4.437 | F | A |
2020-03 | -11.904 | F | A |
2020-04 | -9.222 | F | A |
2020-05 | -0.819 | F | A |
2020-06 | -2.208 | F | A |
2020-07 | -2.811 | F | A |
2020-08 | 2.033 | F | A |
2020-09 | -1.592 | F | A |
2020-10 | -6.579 | F | A |
2020-11 | 2.212 | F | A |
2020-12 | 2.983 | F | A |
2021-01 | 3.323 | F | A |
2021-02 | 13.723 | F | A |
2021-03 | 40.483 | F | A |
2021-04 | 33.474 | F | A |
2021-05 | 30.412 | F | A |
2021-06 | 28.722 | F | A |
2021-07 | 30.552 | F | A |
2021-08 | 28.921 | F | A |
2021-09 | 26.519 | F | A |
2021-10 | 37.249 | F | A |
2021-11 | 19.511 | F | A |
2021-12 | 21.487 | F | A |
2022-01 | 16.469 | F | A |
2022-02 | 9.3 | F | A |
2022-03 | 4.805 | F | A |
2022-04 | 0.114 | F | A |
2022-05 | -2.479 | F | A |
2022-06 | -11.925 | F | A |
2022-07 | -6.284 | F | A |
2022-08 | -12.248 | F | A |
2022-09 | -15.678 | F | A |
2022-10 | -14.351 | F | A |
2022-11 | -8.362 | F | A |
2022-12 | -15.315 | F | A |
2023-01 | -5.134 | F | A |
2023-02 | -0.322 | F | A |
2023-03 | -1.128 | F | A |
2023-04 | 1.759 | F | A |
2023-05 | 2.048 | F | A |
2023-06 | 14.005 | F | A |
2023-07 | 7.518 | F | A |
2023-08 | 9.706 | F | A |
2023-09 | 14.434 | F | A |
2023-10 | 4.153 | F | A |
2023-11 | 5.896 | F | A |
2023-12 | 14.388 | F | A |
2024-01 | 8.657 | F | A |
2024-02 | 10.813 | F | A |
2024-03 | 14.504 | F | A |
2024-04 | 11.542 | F | A |
2024-05 | 15.666 | F | A |
2024-06 | 11.24 | F | A |
2024-07 | 10.233 | F | A |
2024-08 | 13.561 | F | A |
2024-09 | 17.717 | F | A |
2024-10 | 19.544 | F | A |
2024-11 | 14.437 | F | A |
2024-12 | 10.323 | F | A |
2025-01 | 13.818 | F | A |
2025-02 | 11.22 | F | A |
Dimension | Dimension value |
---|---|
[FREQ] Frequency code list | [M] Monthly |
[REF_AREA] Area code list | [FR] France |
[ADJUSTMENT] Adjustment indicator code list | [N] Neither seasonally nor working day adjusted |
[IVF_REP_SECTOR] Investment funds reporting sector code list | [10] Investment funds o/w Equity funds |
[IVF_ITEM] Investment funds item code list | [L30] Investment fund shares/units |
[MATURITY_ORIG] Original maturity | [A] Total |
[DATA_TYPE] Data Type | [8] Valuation |
[COUNT_AREA] Counterpart geo area | [Z5] World not allocated (geographically) |
[BS_COUNT_SECTOR] Balance sheet counterpart sector | [0000] Unspecified counterpart sector |
[CURRENCY_TRANS] Currency code list | [Z01] All currencies combined |
[BS_SUFFIX] Suffix | [T] Valuation rate |