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MI Diversified Strategy C Acc (0P00017VY3.L)
LSE - LSE Delayed price. Currency in GBp (0.01 GBP)
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157.73
+0.21
(+0.13%)
At close: 09:00PM BST
Summary
Chart
Historical data
Profile
Holdings
Performance
Risk
Purchase info
Sustainability
Performance overview
Morningstar return rating
N/A1
Year-to-date return
7.54%
5-year average return
4.14%
Number of years up
6
Number of years down
2
Best 1-yr total return (4 Oct 2024)
14.18%
Worst 1-yr total return (4 Oct 2024)
N/A
Best 3-yr total return
14.18%
Worst 3-yr total return
0.87%
Trailing returns (%) vs. Benchmarks
Time periods longer than one year are annualised.
Return
0P00017VY3.L
Category
YTD
6.34%
0.00%
1-month
0.23%
0.00%
3-month
1.26%
0.00%
1-year
11.10%
0.00%
3-year
1.30%
0.00%
5-year
3.86%
0.00%
10-year
0.00%
0.00%
Last bull market
0.00%
0.00%
Last bear market
0.00%
0.00%
Annual total return (%) history
Year
0P00017VY3.L
Category
2024
N/A
N/A
2023
5.90%
N/A
2022
-8.42%
N/A
2021
8.00%
N/A
2020
3.78%
N/A
2019
13.94%
N/A
2018
-6.35%
N/A
2017
13.13%
N/A
2016
14.18%
N/A
2015
N/A
N/A
Past quarterly returns (%)
Year
Q1
Q2
Q3
Q4
2024
3.74%
1.41%
N/A
N/A
2023
1.33%
-1.08%
1.20%
4.40%
2022
-3.24%
-6.77%
-1.81%
3.39%
2021
1.96%
3.75%
1.38%
0.71%
2020
-16.24%
12.13%
2.77%
7.52%
2019
5.67%
3.46%
1.25%
2.94%
2018
-3.23%
4.57%
1.43%
-8.76%
2017
4.41%
2.26%
1.57%
4.32%
2016
0.20%
1.94%
8.76%
2.78%
2015
-7.22%
6.72%
N/A
N/A
Rank in category (by total return)
YTD
N/A
1-month
N/A
3-month
N/A
1-year
N/A
3-year
N/A
5-year
N/A
Load adjusted returns
1-year
11.10%
3-year
1.30%
5-year
3.86%
10-year
N/A
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