Singapore markets closed

Rydex Consumer Products Fund (RYCIX)

Nasdaq - Nasdaq Delayed price. Currency in USD
Add to watchlist
51.30-0.44 (-0.85%)
At close: 08:00PM EDT

Performance overview

Morningstar return ratingN/A1
Year-to-date return4.44%
5-year average return5.31%
Number of years up17
Number of years down8
Best 1-yr total return (29 Apr 2024)28.95%
Worst 1-yr total return (29 Apr 2024)N/A
Best 3-yr total return28.95%
Worst 3-yr total return1.45%

Trailing returns (%) vs. Benchmarks

Time periods longer than one year are annualised.
ReturnRYCIXCategory
YTD6.40%8.78%
1-month4.01%-0.89%
3-month6.40%3.45%
1-year2.71%30.38%
3-year2.99%12.49%
5-year6.38%8.34%
10-year6.55%11.05%
Last bull market18.64%16.47%
Last bear market-3.19%-5.81%

Annual total return (%) history

Year
RYCIXCategory
2024
N/AN/A
2023
-2.84%N/A
2022
-0.41%N/A
2021
11.12%N/A
2020
8.29%12.22%
2019
22.83%21.72%
2018
-11.85%-10.92%
2017
11.96%15.21%
2016
5.78%5.32%
2015
6.55%4.15%
2014
12.87%10.41%
2013
28.95%27.11%
2012
9.76%13.65%
2011
14.00%5.05%
2010
17.58%18.99%
2009
19.35%25.24%
2008
-23.08%-25.63%
2007
11.31%14.81%
2006
17.25%17.16%
2005
-0.56%0.15%
2004
13.21%14.75%
2003
21.65%18.97%
2002
-3.58%-5.97%
2001
-2.79%2.98%
2000
-12.91%12.93%
1999
2.32%-10.35%
1998
N/A16.19%

Past quarterly returns (%)

YearQ1Q2Q3Q4
20246.40%N/AN/AN/A
20230.65%0.07%-6.84%3.55%
2022-1.14%-3.19%-7.78%12.84%
20214.72%2.47%-5.00%9.00%
2020-17.09%12.18%7.60%8.20%
201911.68%1.48%4.55%3.66%
2018-5.42%-0.69%1.37%-7.42%
20175.93%0.35%-1.04%6.43%
20165.10%6.29%-2.92%-2.45%
20152.13%-0.39%-1.70%6.55%
20141.32%5.30%-0.15%5.95%
201315.38%1.32%2.66%7.45%
20126.18%0.75%1.43%1.15%
20115.21%6.35%-5.53%7.85%
20107.75%-7.32%10.52%6.54%
2009-10.54%13.26%11.64%5.51%
2008-5.80%-6.40%1.82%-14.32%
20073.08%2.13%3.04%2.61%
20063.68%2.77%5.33%4.47%
20050.13%-0.72%2.11%-2.03%
20046.42%3.35%-7.83%11.68%
2003-6.08%15.20%3.12%9.03%
20028.29%-3.35%-11.39%3.96%
2001-9.80%2.65%0.81%4.14%
2000-17.29%-1.72%-5.11%12.91%
19994.75%-1.67%-14.13%15.70%
199825.78%N/AN/AN/A

Rank in category (by total return)

YTD49
1-month43
3-month49
1-year67
3-year81
5-year88

Load adjusted returns

1-year2.71%
3-year2.99%
5-year6.38%
10-year6.55%