Median Performance of Real Estate Closed-End Investment Funds for 12 months (excluding NAV-weighted)
月次
%
前回値
国: ロシア,
算出組織: Cbonds
最新データ 2026/01/30
最も包括的なデータベースを探索
1 000 000
債券
80 234
株
161 443
ETF&投資信託
70 000
インデックス
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インデックス説明
国: ロシア
算出組織: Cbonds
The index value is the median value of the profitability of a real estate investment fund for 12 months (excluding VAT)"reflects the median value of the profitability of instruments (including income payments and without), the object of investment of which is real estate, at the end of the billing period.
指数値は、Cbonds Excelアドインを使用して数式で取得できます CbondsIndexValue(184011, date)
サブグループインデックス
| 指数 | 現在の価値 | 日付 |
|---|---|---|
| Average NAV of Real Estate Closed-End Investment Funds | 7,109,062,768.78 RUB | 2026/01/30 |
| Average Performance of Distribution Amount on Average NAV per Share of Real Estate Closed-End Investment Funds for 12 months | 2.24 % | 2026/01/30 |
| Median Performance of Real Estate Closed-End Investment Funds for 12 months (excluding NAV-weighted) | 15.65 % | 2026/01/30 |
| NAV-weighted Performance of Real Estate Closed-End Investment Funds for 12 months | 17.8 % | 2026/01/30 |