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Invesco International Core Equity Fund (IBVCX)

Nasdaq - Nasdaq Delayed price. Currency in USD
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11.15-0.00 (-0.01%)
At close: 08:01PM EDT

Performance overview

Morningstar return ratingN/A1
Year-to-date return10.67%
5-year average return2.87%
Number of years up14
Number of years down8
Best 1-yr total return (23 Apr 2023)29.41%
Worst 1-yr total return (23 Apr 2023)N/A
Best 3-yr total return29.41%
Worst 3-yr total return-6.75%

Trailing returns (%) vs. Benchmarks

Time periods longer than one year are annualised.
ReturnIBVCXCategory
YTD10.67%9.07%
1-month5.25%-1.09%
3-month1.81%5.12%
1-year8.62%33.76%
3-year16.17%8.50%
5-year2.87%10.08%
10-year3.96%5.80%
Last bull market33.51%14.90%
Last bear market-12.14%-23.70%

Annual total return (%) history

Year
IBVCXCategory
2023
N/AN/A
2022
-9.95%N/A
2021
3.65%N/A
2020
16.01%9.30%
2019
23.99%21.59%
2018
-22.23%-14.59%
2017
23.55%25.12%
2016
2.17%0.79%
2015
-3.71%-1.59%
2014
-1.70%-4.98%
2013
10.22%19.44%
2012
13.09%18.29%
2011
-14.94%-13.97%
2010
4.80%10.24%
2009
29.41%31.24%
2008
-40.22%-43.99%
2007
8.11%12.71%
2006
23.51%24.77%
2005
9.56%14.72%
2004
18.64%17.39%
2003
29.13%33.58%
2002
-12.95%-16.69%
2001
-17.53%-21.67%
2000
N/A-16.34%

Past quarterly returns (%)

YearQ1Q2Q3Q4
20239.24%N/AN/AN/A
2022-5.57%-12.14%-10.88%21.79%
20215.52%3.21%-4.49%-0.35%
2020-26.30%23.79%5.91%20.07%
201911.52%2.81%-1.85%10.18%
2018-1.05%-6.18%-0.95%-15.42%
20175.53%4.86%5.98%5.35%
2016-1.60%-1.73%7.55%-1.76%
20154.42%-0.55%-9.71%2.71%
20141.53%3.98%-5.96%-0.99%
20130.59%-2.63%8.51%3.71%
20128.01%-8.43%6.10%7.77%
20111.74%0.63%-19.57%3.30%
20101.43%-16.21%15.64%6.63%
2009-14.11%24.29%17.70%3.00%
2008-10.47%-3.04%-14.38%-19.56%
20073.19%5.84%1.75%-2.72%
20068.27%0.94%4.71%7.94%
2005-0.54%-1.80%8.52%3.36%
20042.86%2.27%-0.50%13.35%
2003-9.00%15.74%5.31%16.42%
20024.39%-0.23%-20.64%5.32%
2001-9.21%0.97%-14.10%4.73%
2000-0.41%-7.59%-1.20%N/A

Rank in category (by total return)

YTD18
1-month33
3-month18
1-year5
3-year4
5-year50

Load adjusted returns

1-year3.19%
3-year17.09%
5-year2.88%
10-year4.09%