Monthly Reports Maandrapporten

Reports Archive

Archief Rapporten

All AlphaTower monthly reports in one place. Open any report to view the full text, performance charts and sectorial distribution.

Alle maandrapporten van AlphaTower op een plek. Open elk rapport voor de volledige tekst, grafieken en sectorale verdeling.

85 Total Reports Totaal Rapporten
June 2026 Juni 2026 Latest Report Laatste Rapport

All Reports

Alle Rapporten

Reports are sorted from newest to oldest. Click any report to read the full article with charts and analysis.

Rapporten zijn gesorteerd van nieuw naar oud. Klik op een rapport om het volledige artikel met grafieken en analyse te lezen.

June 2026

June 2026: Fund Performance 0.8%

At the end of May, the unit value came to € 352.12, an increase of 0.8% versus the previus month. Net return for the year stands at +18.3%, compared with +12.7% for the MSCI world equity index.

May 2026

May 2026: Fund Performance 2.1%

At the end of May, the unit value came to € 349.24, an increase of 2.1% versus the previus month. Net return for the year stands at +17.3%, compared with +11.2% for the MSCI world equity index.

April 2026

April 2026: Fund Performance 7.3%

At the end of April, the unit value came to EUR 342.06, an increase of 7.3% versus March. Net return for the year through April stands at +14.9%, compared with +5.8% for the world equity index.

March 2026

March 2026: Fund Performance -4.4%

Our High Return Strategy maintained its strong start to 2026. At the end of March, the unit value came to EUR 318.84, a decline of 4.4% versus February. Net return for 2026 stands at +7.1%, compared with -1.7% for the world index.

February 2026

February 2026: Fund Performance 6.0%

Our performance in February 2026 is 6.0% (YTD: 12.1%). Since the start in May 2019, our performance is 233.7% vs. 121.4% for the MSCI World. The fund value per unit as of February 2026 is EUR 333.66.

January 2026

January 2026: Fund Performance 5.7%

Our performance in January 2026 is 5.7% (YTD: 5.7%). Since the start in May 2019, our performance is 214.8% vs. 118.1% for the MSCI World. The fund value per unit as of January 2026 is EUR 314.76.

December 2025

December 2025: Fund Performance 1.2%

Our performance in December 2025 is 1.2% (YTD: 36.7%). Since the start in May 2019, our performance is 197.7% vs. 116.1% for the MSCI World. The fund value per unit as of December 2025 is EUR 297.67.

November 2025

November 2025: Fund Performance 1.3%

Our performance in November 2025 is 1.3% (YTD: 35.1%). Since the start in May 2019, our performance is 194.3% vs. 116.9% for the MSCI World. The fund value per unit as of November 2025 is EUR 294.28.

October 2025

October 2025: Fund Performance 1.7%

Our performance in October 2025 is 1.7% (YTD: 33.4%). Since the start in May 2019, our performance is 190.6% vs. 117.5% for the MSCI World. The fund value per unit as of October 2025 is EUR 290.58.

September 2025

September 2025: Fund Performance 2.4%

Our performance in September 2025 is 2.4% (YTD: 31.2%). Since the start in May 2019, our performance is 185.8% vs. 109.5% for the MSCI World. The fund value per unit as of September 2025 is EUR 285.78.

August 2025

August 2025: Fund Performance 4.9%

Our performance in August 2025 is 4.9% (YTD: 28.2%). Since the start in May 2019, our performance is 179.1% vs. 103.8% for the MSCI World. The fund value per unit as of August 2025 is EUR 279.13.

July 2025

July 2025: Fund Performance 5.9%

Our performance in July 2025 is 5.9% (YTD: 22.2%). Since the start in May 2019, our performance is 166.1% vs. 103.1% for the MSCI World. The fund value per unit as of July 2025 is EUR 266.08.

June 2025

June 2025: Fund Performance 2.1%

Our performance in June 2025 is 2.1% (YTD: 15.4%). Since the start in May 2019, our performance is 151.3% vs. 95.5% for the MSCI World. The fund value per unit as of June 2025 is EUR 251.29.

May 2025

May 2025: Fund Performance 7.1%

Our performance in May 2025 is 7.1% (YTD: 13.0%). Since the start in May 2019, our performance is 146.0% vs. 93.8% for the MSCI World. The fund value per unit as of May 2025 is EUR 246.02.

April 2025

April 2025: Fund Performance -0.5%

Our performance in April 2025 is -0.5% (YTD: 5.5%). Since the start in May 2019, our performance is 129.8% vs. 82.7% for the MSCI World. The fund value per unit as of April 2025 is EUR 229.78.

March 2025

March 2025: Fund Performance -3.6%

Our performance in March 2025 is -3.6% (YTD: 6.0%). Since the start in May 2019, our performance is 130.9% vs. 90.6% for the MSCI World. The fund value per unit as of February 2025 is EUR 230.89.

February 2025

February 2025: Fund Performance 2.8%

Our performance in February 2025 is 2.8% (YTD: 10.0%). Since the start in May 2019, our performance is 139.5% vs. 107.2% for the MSCI World. The fund value per unit as of February 2025 is EUR 239.48.

January 2025

January 2025: Fund Performance 7.0%

Our performance in January 2025 is 7.0% (YTD: 7.0%). Since the start in May 2019, our performance is 133.0% vs. 108.8% for the MSCI World. The fund value per unit as of January 2025 is EUR 233.00.

December 2024

December 2024: Fund Performance 0.2%

Our performance in December 2024 is 0.2% (YTD: 19.3%). Since the start in May 2019, our performance is 117.8% vs. 102.5% for the MSCI World. The fund value per unit as of December 2024 is EUR 217.80.

November 2024

November 2024: Fund Performance 10.2%

Our performance in November 2024 is 10.2% (YTD: 19.0%). Since the start in May 2019, our performance is 117.4% vs. 103.8% for the MSCI World. The fund value per unit as of November 2024 is EUR 217.35.

October 2024

October 2024: Fund Performance 0.2%

Our performance in October 2024 is 0.2% (YTD: 8.1%). Since the start in May 2019, our performance is 97.3% vs. 90.6% for the MSCI World. The fund value per unit as of October 2024 is EUR 197.30.

September 2024

September 2024: Fund Performance -0.1%

Our performance in September 2024 is -0.1% (YTD: 7.8%). Since the start in May 2019, our performance is 96.8% vs. 89.2% for the MSCI World. The fund value per unit as of September 2024 is EUR 196.82.

August 2024

August 2024: Fund Performance -5.1%

Our performance in August 2024 is -5.1% (YTD: 7.9%). Since the start in May 2019, our performance is 97.1% vs. 87.3% for the MSCI World. The fund value per unit as of August 2024 is EUR 197.11.

July 2024

July 2024: Fund Performance (1.2%)

Our performance in July 2024 is 1.2% (YTD: 13.8%). Since the start in May 2019, our performance is 107.7% vs. 86.7% for the MSCI World. The fund value per unit as of July 2024 is EUR 207.73.

June 2024

June 2024: Fund Performance 0.3%

Our performance in June 2024 is 0.3% (YTD: 12.4%). Since the start in May 2019, our performance is 105.3% vs. 84.0% for the MSCI World. The fund value per unit as of June 2024 is EUR 205.30.

May 2024

May 2024: Fund Performance (4.3%)

Our performance in May 2024 is 4.3% (YTD: 12.1%). Since the start in May 2019, our performance is 104.8% vs. 78.0% for the MSCI World. The fund value per unit as of May 2024 is EUR 204.78.

April 2024

April 2024: Fund Performance (-0.2%)

Our performance in April 2024 is -0.2% (YTD: 7.5%). Since the start in May 2019, our performance is 96.3% vs. 73.0% for the MSCI World. The fund value per unit as of April 2024 is EUR 196.28.

March 2024

March 2024: Fund Performance 2.5%

Our performance in March 2024 is 2.5% (YTD: 7.7%). Since the start in May 2019, our performance is 96.7% vs. 77.9% for the MSCI World. The fund value per unit as of March 2024 is EUR 196.65.

February 2024

February 2024: Fund Performance 0.7%

Our performance in February 2024 is 0.7% (YTD: 5.1%). Since the start in May 2019, our performance is 91.9% vs. 72.0% for the MSCI World. The fund value per unit as of February 2024 is EUR 191.95.

January 2024

January 2024: Fund Performance (4.4%)

Our performance in January 2024 is 4.4% (YTD: 4.4%). Since the start in May 2019, our performance is 90.7% vs. 64.4% for the MSCI World. The fund value per unit as of January 2024 is EUR 190.67.

December 2023

December 2023: Fund Performance 6.0%

Our performance in December 2023 is 6.0% (YTD: 10.3%). Since the start in May 2019, our performance is 82.6% vs. 59.7% for the MSCI World. The fund value per unit as of December 2023 is EUR 182.60.

November 2023

November 2023: Fund Performance 4.7%

Our performance in November 2023 is 4.7% (YTD: 4.0%). Since the start in May 2019, our performance is 72.3% vs. 54.2% for the MSCI World. The fund value per unit as of November 2023 is EUR 172.26.

October 2023

October 2023: Fund Performance -4.4%

Our performance in October 2023 is -4.4% (YTD: -0.7%). Since the start in May 2019, our performance is 64.5% vs. 45.5% for the MSCI World. The fund value per unit as of October 2023 is EUR 164.54.

September 2023

September 2023: Fund Performance 4.9%

Our performance in September 2023 is 4.9% (YTD: 3.9%). Since the start in May 2019, our performance is 72.1% vs. 49.6% for the MSCI World. The fund value per unit as of September 2023 is EUR 172.11.

August 2023

August 2023: Fund Performance 0.0%

Our performance in August 2023 is 0.0% (YTD: -1.0%). Since the start in May 2019, our performance is 64.0% vs. 52.5% for the MSCI World. The fund value per unit as of August 2023 is EUR 164.03.

July 2023

July 2023: Fund Performance 4.7%

Our performance in July 2023 is 4.7% (YTD: -0.9%). Since the start in May 2019, our performance is 64.1% vs. 49.8% for the MSCI World. The fund value per unit as of July 2023 is EUR 164.09.

June 2023

June 2023: Fund Performance -0.1%

Our performance in June 2023 is -0.1% (YTD: -5.3%). Since the start in May 2019, our performance is 56.8% vs. 46.4% for the MSCI World. The fund value per unit as of June 2023 is EUR 156.78.

May 2023

May 2023: Fund Performance -3.3%

Our performance in May 2023 is -3.3% (YTD: -5.2%). Since the start in May 2019, our performance is 57.0% vs. 45.1% for the MSCI World. The fund value per unit as of May 2023 is EUR 157.01.

April 2023

April 2023: Fund Performance -0.6%

Our performance in April 2023 is -0.6% (YTD: -1.9%). Since the start in May 2019, our performance is 62.4% vs. 41.5% for the MSCI World. The fund value per unit as of April 2023 is EUR 162.43.

March 2023

March 2023: Fund Performance 0.2%

Our performance in March 2023 is 0.2% (YTD: -1.3%). Since the start in May 2019, our performance is 63.4% vs. 41.3% for the MSCI World. The fund value per unit as of March 2023 is EUR 163.43.

February 2023

February 2023: Fund Performance -2.7%

Our performance in February 2023 is -2.7% (YTD: -1.5%). Since the start in May 2019, our performance is 63.1% vs. 40.4% for the MSCI World. The fund value per unit as of February 2023 is EUR 163.07.

January 2023

January 2023: Fund Performance 1.2%

Our performance in January 2023 is 1.2% (YTD: 1.2%). Since the start in May 2019, our performance is 67.7% vs. 40.5% for the MSCI World. The fund value per unit as of January 2023 is EUR 167.67.

December 2022

December 2022: Fund Performance -4.9%

Our performance in December 2022 is -4.9% (YTD: 5.5%). Since the start in May 2019, our performance is 65.6% vs. 33.5% for the MSCI World. The fund value per unit as of December 2022 is EUR 165.62.

November 2022

November 2022: Fund Performance 2.3%

Our performance in November 2022 is 2.3% (YTD: 10.9%). Since the start in May 2019, our performance is 74.2% vs. 44.6% for the MSCI World. The fund value per unit as of November 2022 is EUR 174.19.

October 2022

October 2022: Fund Performance 5.8%

Our performance in October 2022 is 5.8% (YTD: 8.4%). Since the start in May 2019, our performance is 70.3% vs. 40.8% for the MSCI World. The fund value per unit as of October 2022 is EUR 170.28.

September 2022

September 2022: Fund Performance -7.5%

Our performance in September 2022 is -7.5% (YTD: 2.5%). Since the start in May 2019, our performance is 61.0% vs. 32.5% for the MSCI World. The fund value per unit as of September 2022 is EUR 161.02.

August 2022

August 2022: Fund Performance 0.4%

Our performance in August 2022 is 0.4% (YTD: 10.8%). Since the start in May 2019, our performance is 74.0% vs. 42.4% for the MSCI World. The fund value per unit as of August 2022 is EUR 173.98.

July 2022

July 2022: Fund Performance 8.4%

Our performance in July 2022 is 8.4% (YTD: 10.4%). Since the start in May 2019, our performance is 73.4% vs. 46.5% for the MSCI World. The fund value per unit as of July 2022 is EUR 173.36.

June 2022

June 2022: Fund Performance -4.9%

Our performance in June 2022 is -4.9% (YTD: 1.9%). Since the start in May 2019, our performance is 60.0% vs. 32.4% for the MSCI World. The fund value per unit as of June 2022 is EUR 159.99.

May 2022

May 2022: Fund Performance -0.5%

Our performance in May 2022 is -0.5% (YTD: 7.2%). Since the start in May 2019, our performance is 68.3% vs. 41.5% for the MSCI World. The fund value per unit as of May 2022 is EUR 168.28.

April 2022

April 2022: Fund Performance 4.0%

Our performance in April 2022 is 4.0% (YTD: 7.7%). Since the start in May 2019, our performance is 69.2% vs. 43.6% for the MSCI World. The fund value per unit as of April 2022 is EUR 169.15.

March 2022

March 2022: Fund Performance 6.8%

Our performance in March 2022 is 6.8% (YTD: 3.6%). Since the start in May 2019, our performance is 62.7% vs. 48.4% for the MSCI World. The fund value per unit as of March 2022 is EUR 162.70.

February 2022

February 2022: Fund Performance 1.2%

Our performance in February 2022 is 1.2% (YTD: -3.0%). Since the start in May 2019, our performance is 52.3% vs. 43.1% for the MSCI World. The fund value per unit as of February 2022 is EUR 152.30.

January 2022

January 2022: Fund Performance -4.2%

Our performance in January 2022 is -4.2% (YTD: -4.2%). Since the start in May 2019, our performance is 50.5% vs. 47.1% for the MSCI World. The fund value per unit as of January 2022 is EUR 150.45.

December 2021

December 2021: Fund Performance 2.4%

Our performance in December 2021 is 2.4% (YTD: 28.4%). Since the start in May 2019, our performance is 57.0% vs. 53.1% for the MSCI World. The fund value per unit as of December 2021 is EUR 157.02.

November 2021

November 2021: Fund Performance -2.1%

Our performance in November 2021 is -2.1% (YTD: 25.4%). Since the start in May 2019, our performance is 53.3% vs. 48.4% for the MSCI World. The fund value per unit as of November 2021 is EUR 153.32.

September 2021

September 2021: Fund Performance 0.1%

Our performance in September 2021 is 0.1% (YTD: 25.3%). Since the start in May 2019, our performance is 53.2% vs. 39.4% for the MSCI World. The fund value per unit as of September 2021 is EUR 153.20.

August 2021

August 2021: Fund Performance 2.0%

Our performance in August 2021 is 2.0% (YTD: 25.1%). Since the start in May 2019, our performance is 53.0% vs. 42.8% for the MSCI World. The fund value per unit as of August 2021 is EUR 153.00.

July 2021

July 2021: Fund Performance -0.3%

Our performance in July 2021 is -0.3% (YTD: 22.6%). Since the start in May 2019, our performance is 49.9% vs. 38.7% for the MSCI World. The fund value per unit as of July 2021 is EUR 149.93.

June 2021

June 2021: Fund Performance 1.9%

Our performance in June 2021 is 1.9% (YTD: 23.0%). Since the start in May 2019, our performance is 50.4% vs. 36.3% for the MSCI World. The fund value per unit as of June 2021 is EUR 150.37.

May 2021

May 2021: Fund Performance 3.9%

Our performance in May 2021 is 3.9% (YTD: 20.6%). Since the start in May 2019, our performance is 47.5% vs. 30.2% for the MSCI World. The fund value per unit as of May 2021 is EUR 147.51.

April 2021

April 2021: Fund Performance 4.0%

Our performance in April 2021 is 4.0% (YTD: 16.0%). Since the start in May 2019, our performance is 41.9% vs. 30.4% for the MSCI World. The fund value per unit as of April 2021 is EUR 141.91.

March 2021

March 2021: Fund Performance 7.6%

Our performance in March 2021 is 7.6% (YTD: 11.5%). Since the start in May 2019, our performance is 36.4% vs. 27.3% for the MSCI World. The fund value per unit as of March 2021 is EUR 136.40.

February 2021

February 2021: Fund Performance 1.1%

Our performance in February 2021 is 1.1% (YTD: 3.7%). Since the start in May 2019, our performance is 26.8% vs. 19.3% for the MSCI World. The fund value per unit as of February 2021 is EUR 126.81.

January 2021

January 2021: Fund Performance 2.5%

Our performance in January 2021 is 2.5% (YTD: 2.5%). Since the start in May 2019, our performance is 25.4% vs. 16.2% for the MSCI World. The fund value per unit as of January 2021 is EUR 125.40.

December 2020

December 2020: Fund Performance 7.4%

AlphaTower has achieved a 7.4% return in December 2020, bringing the return since the start of AlphaTower (30 April 2019) to 22.3% and the 2020 full-year return to 3.6%. The fund value per unit as of December 2020 is EUR 122.28.

November 2020

November 2020: Fund Performance 5.0%

Our performance in November 2020 is 5.0%. Since the start in May 2019, our performance is 13.9% vs. 14.4% for the MSCI World. The YTD performance is -3.5% vs 4.3% for the MSCI World. The fund value per unit as of November 2020 is EUR 113.84.

October 2020

October 2020: Fund Performance -3.8%

Our performance in October 2020 is -3.8%. Since the start in May 2019, our performance is 8.5% vs. 4.1% for the MSCI World. The YTD performance is -8.1% vs -5.0% for the MSCI World. The fund value per unit as of October 2020 is EUR 108.48.

September 2020

September 2020: Fund Performance 0.0%

Our performance in September 2020 is 0%. Since the start in May 2019, our performance is 12.8% vs. 6.7% for the MSCI World.

August 2020

August 2020: Fund Performance 5.0%

Our performance in August 2020 is 5.0%. Since the start in May 2019, our performance is 12.8% vs. 8.4% for the MSCI World.

July 2020

July 2020: Fund Performance -0.4%

Our performance in July 2020 is -0.4%. Since the start in May 2019, our performance is 7.4% vs. 2.8% for the MSCI World.

June 2020

June 2020: Fund Performance 0.8%

Our performance in June 2020 is 0.8%. Since the start in May 2019, our performance is 8.0% vs. 3.3% for the MSCI World.

May 2020

May 2020: Fund Performance 2.9%

Our performance in May 2020 is 2.9% and in line with the global recovery of stock markets. Since the start in May 2019, our performance is 7.2% vs. 1.6% for the MSCI World.

April 2020

April 2020: Fund Performance 9.1%

Our performance in April 2020 is 9.1%. We celebrate the completion of our first year in business. Our performance since 1 May 2019 is 4.1% vs -1.6% for the MSCI World.

March 2020

March 2020: Fund Performance -9.4%

Our performance in March 2020 is -9.4%. We lost 19.1% the first quarter as stock markets plunged amid the coronavirus outbreak. Since the start (30 April 2019), we lost 4.5% vs. -11.5% for the MSCI World.

February 2020

February 2020: Fund Performance -11.4%

Our performance in February 2020 is -11.4%. We have seen a meaningful drop in equity markets in February. It was a volatile month for stocks.

January 2020

January 2020: Fund Performance 0.8%

Our performance in January 2020 is 0.8%. Since the start in May 2019, our performance is 19.0%. The fund value per unit as of January 2020 is EUR 118.98.

December 2019

December 2019: Fund Performance (+5.3%)

AlphaTower achieved a 5.3% return in December 2019, bringing the cumulative return since launch to 18.0%.

November 2019

November 2019: Fund Performance (+4.1%)

Our performance for November 2019 is 4.1%, bringing the cumulative return since April 2019 to +12%.

October 2019

October 2019: Fund Performance

For October 2019, AlphaTower was unchanged at 0% versus +0.2% for the MSCI World Equity Index.

September 2019

September 2019: Fund Performance (+6.3%)

Correction: our performance for September 2019 is 6.3%, not 5.7%.

August 2019

August 2019: Fund Performance

Correction: our performance for August 2019 is -2.2%, not -2.4%.

July 2019

July 2019: Fund Performance

The return for July 2019 is +4.0% and the cumulative return from April 2019 is +3.6%.

June 2019

June 2019: Fund Performance

AlphaTower has a low correlation with the world equity index; the return for June 2019 is +0.4%.

May 2019

May 2019: Fund Performance

Cautious investing works: the return for May 2019 is -0.8%, versus -5% or worse for global equity indices.

Juni 2026

Juni 2026: Fondsrendement 0.8%

Per eind juni komt de unitwaarde uit op € 352.12, een stijging van 0.8% ten opzichte van mei. Het nettorendement dit jaar tot en met mei is +18.3%, tegenover +12.7% voor de wereldaandelenindex.

Mei 2026

Mei 2026: Fondsrendement 2.1%

Per eind mei komt de unitwaarde uit op EUR 349.24, een stijging van 2.1% ten opzichte van april. Het nettorendement dit jaar tot en met mei is +17.3%, tegenover +11.2% voor de wereldaandelenindex.

April 2026

April 2026: Fondsrendement 7.3%

Per eind april komt de unitwaarde uit op EUR 342.06, een stijging van 7.3% ten opzichte van maart. Het nettorendement dit jaar tot en met april is +14.9%, tegenover +5.8% voor de wereldaandelenindex.

Maart 2026

Maart 2026: Fondsrendement -4.4%

AlphaTower Hoog Rendements Strategie houdt de sterke start van 2026 vast. Per einde maart kwam de unitwaarde uit op EUR 318.84, een daling van 4.4% ten opzichte van februari. Het nettorendement over 2026 bedraagt +7.1%, tegenover -1.7% voor de wereldindex.

Februari 2026

Februari 2026: Fondsrendement 6.0%

Ons rendement in Februari 2026 is 6.0% (YTD: 12.1%). Sinds de start in mei 2019 bedraagt ons rendement 233.7% vs. 121.4% voor de MSCI World. De fondswaarde per participatie per Februari 2026 is EUR 333.66.

Januari 2026

Januari 2026: Fondsrendement 5.7%

Ons rendement in Januari 2026 is 5.7% (YTD: 5.7%). Sinds de start in mei 2019 bedraagt ons rendement 214.8% vs. 118.1% voor de MSCI World. De fondswaarde per participatie per Januari 2026 is EUR 314.76.

December 2025

December 2025: Fondsrendement 1.2%

Ons rendement in December 2025 is 1.2% (YTD: 36.7%). Sinds de start in mei 2019 bedraagt ons rendement 197.7% vs. 116.1% voor de MSCI World. De fondswaarde per participatie per December 2025 is EUR 297.67.

November 2025

November 2025: Fondsrendement 1.3%

Ons rendement in November 2025 is 1.3% (YTD: 35.1%). Sinds de start in mei 2019 bedraagt ons rendement 194.3% vs. 116.9% voor de MSCI World. De fondswaarde per participatie per November 2025 is EUR 294.28.

Oktober 2025

Oktober 2025: Fondsrendement 1.7%

Ons rendement in Oktober 2025 is 1.7% (YTD: 33.4%). Sinds de start in mei 2019 bedraagt ons rendement 190.6% vs. 117.5% voor de MSCI World. De fondswaarde per participatie per Oktober 2025 is EUR 290.58.

September 2025

September 2025: Fondsrendement 2.4%

Ons rendement in September 2025 is 2.4% (YTD: 31.2%). Sinds de start in mei 2019 bedraagt ons rendement 185.8% vs. 109.5% voor de MSCI World. De fondswaarde per participatie per September 2025 is EUR 285.78.

Augustus 2025

Augustus 2025: Fondsrendement 4.9%

Ons rendement in Augustus 2025 is 4.9% (YTD: 28.2%). Sinds de start in mei 2019 bedraagt ons rendement 179.1% vs. 103.8% voor de MSCI World. De fondswaarde per participatie per Augustus 2025 is EUR 279.13.

Juli 2025

Juli 2025: Fondsrendement 5.9%

Ons rendement in Juli 2025 is 5.9% (YTD: 22.2%). Sinds de start in mei 2019 bedraagt ons rendement 166.1% vs. 103.1% voor de MSCI World. De fondswaarde per participatie per Juli 2025 is EUR 266.08.

Juni 2025

Juni 2025: Fondsrendement 2.1%

Ons rendement in Juni 2025 is 2.1% (YTD: 15.4%). Sinds de start in mei 2019 bedraagt ons rendement 151.3% vs. 95,5% voor de MSCI World. De fondswaarde per participatie per Juni 2025 is EUR 251,29.

Mei 2025

Mei 2025: Fondsrendement 7.1%

Ons rendement in Mei 2025 is 7.1% (YTD: 13.0%). Sinds de start in mei 2019 bedraagt ons rendement 146.0% vs. 93.8% voor de MSCI World. De fondswaarde per participatie per Mei 2025 is EUR 246.02.

April 2025

April 2025: Fondsrendement -0.5%

Ons rendement in April 2025 is -0.5% (YTD: 5.5%). Sinds de start in mei 2019 bedraagt ons rendement 129.8% vs. 82.7% voor de MSCI World. De fondswaarde per participatie per April 2025 is EUR 229.78.

Maart 2025

Maart 2025: Fondsrendement -3.6%

Ons rendement in Maart 2025 is -3.6% (YTD: 6.0%). Sinds de start in mei 2019 bedraagt ons rendement 130.9% vs. 90.6% voor de MSCI World. De fondswaarde per participatie per Februari 2025 is EUR 230.89.

Februari 2025

Februari 2025: Fondsrendement 2.8%

Ons rendement in Februari 2025 is 2.8% (YTD: 10.0%). Sinds de start in mei 2019 bedraagt ons rendement 139.5% vs. 107.2% voor de MSCI World. De fondswaarde per participatie per Februari 2025 is EUR 239.48.

Januari 2025

Januari 2025: Fondsrendement 7.0%

Ons rendement in Januari 2025 is 7.0% (YTD: 7.0%). Sinds de start in mei 2019 bedraagt ons rendement 133.0% vs. 108.8% voor de MSCI World. De fondswaarde per participatie per Januari 2025 is EUR 233.00.

December 2024

December 2024: Fondsrendement 0.2%

Ons rendement in December 2024 is 0.2% (YTD: 19.3%). Sinds de start in mei 2019 bedraagt ons rendement 117.8% vs. 102.5% voor de MSCI World. De fondswaarde per participatie per December 2024 is EUR 217.80.

November 2024

November 2024: Fondsrendement 10.2%

Ons rendement in November 2024 is 10.2% (YTD: 19.0%). Sinds de start in mei 2019 bedraagt ons rendement 117.4% vs. 103.8% voor de MSCI World. De fondswaarde per participatie per November 2024 is EUR 217.35.

Oktober 2024

Oktober 2024: Fondsrendement 0.2%

Ons rendement in Oktober 2024 is 0.2% (YTD: 8.1%). Sinds de start in mei 2019 bedraagt ons rendement 97.3% vs. 90.6% voor de MSCI World. De fondswaarde per participatie per Oktober 2024 is EUR 197.30.

September 2024

September 2024: Fondsrendement -0.1%

Ons rendement in September 2024 is -0.1% (YTD: 7.8%). Sinds de start in mei 2019 bedraagt ons rendement 96.8% vs. 89.2% voor de MSCI World. De fondswaarde per participatie per September 2024 is EUR 196.82.

Augustus 2024

Augustus 2024: Fondsrendement -5.1%

Ons rendement in Augustus 2024 is -5.1% (YTD: 7.9%). Sinds de start in mei 2019 bedraagt ons rendement 97.1% vs. 87.3% voor de MSCI World. De fondswaarde per participatie per Augustus 2024 is EUR 197.11.

Juli 2024

Juli 2024: Fondsrendement 1.2%

Ons rendement in Juli 2024 is 1.2% (YTD: 13.8%). Sinds de start in mei 2019 bedraagt ons rendement 107.7% vs. 86.7% voor de MSCI World. De fondswaarde per participatie per Juli 2024 is EUR 207.73.

Juni 2024

Juni 2024: Fondsrendement 0.3%

Ons rendement in Juni 2024 is 0.3% (YTD: 12.4%). Sinds de start in mei 2019 bedraagt ons rendement 105.3% vs. 84.0% voor de MSCI World. De fondswaarde per participatie per Juni 2024 is EUR 205.30.

Mei 2024

Mei 2024: Fondsrendement 4.3%

Ons rendement in Mei 2024 is 4.3% (YTD: 12.1%). Sinds de start in mei 2019 bedraagt ons rendement 104.8% vs. 78.0% voor de MSCI World. De fondswaarde per participatie per Mei 2024 is EUR 204.78.

April 2024

April 2024: Fondsrendement -0.2%

Ons rendement in April 2024 is -0.2% (YTD: 7.5%). Sinds de start in mei 2019 bedraagt ons rendement 96.3% vs. 73.0% voor de MSCI World. De fondswaarde per participatie per April 2024 is EUR 196.28.

Maart 2024

Maart 2024: Fondsrendement 2.5%

Ons rendement in Maart 2024 is 2.5% (YTD: 7.7%). Sinds de start in mei 2019 bedraagt ons rendement 96.7% vs. 77.9% voor de MSCI World. De fondswaarde per participatie per Maart 2024 is EUR 196.65.

Februari 2024

Februari 2024: Fondsrendement 0.7%

Ons rendement in Februari 2024 is 0.7% (YTD: 5.1%). Sinds de start in mei 2019 bedraagt ons rendement 91.9% vs. 72.0% voor de MSCI World. De fondswaarde per participatie per Februari 2024 is EUR 191.95.

Januari 2024

Januari 2024: Fondsrendement 4.4%

Ons rendement in Januari 2024 is 4.4% (YTD: 4.4%). Sinds de start in mei 2019 bedraagt ons rendement 90.7% vs. 64.4% voor de MSCI World. De fondswaarde per participatie per Januari 2024 is EUR 190.67.

December 2023

December 2023: Fondsrendement 6.0%

Ons rendement in December 2023 is 6.0% (YTD: 10.3%). Sinds de start in mei 2019 bedraagt ons rendement 82.6% vs. 59.7% voor de MSCI World. De fondswaarde per participatie per December 2023 is EUR 182.60.

November 2023

November 2023: Fondsrendement 4.7%

Ons rendement in November 2023 is 4.7% (YTD: 4.0%). Sinds de start in mei 2019 bedraagt ons rendement 72.3% vs. 54.2% voor de MSCI World. De fondswaarde per participatie per November 2023 is EUR 172.26.

Oktober 2023

Oktober 2023: Fondsrendement -4.4%

Ons rendement in Oktober 2023 is -4.4% (YTD: -0.7%). Sinds de start in mei 2019 bedraagt ons rendement 64.5% vs. 45.5% voor de MSCI World. De fondswaarde per participatie per Oktober 2023 is EUR 164.54.

September 2023

September 2023: Fondsrendement 4.9%

Ons rendement in September 2023 is 4.9% (YTD: 3.9%). Sinds de start in mei 2019 bedraagt ons rendement 72.1% vs. 49.6% voor de MSCI World. De fondswaarde per participatie per September 2023 is EUR 172.11.

Augustus 2023

Augustus 2023: Fondsrendement 0.0%

Ons rendement in Augustus 2023 is 0.0% (YTD: -1.0%). Sinds de start in mei 2019 bedraagt ons rendement 64.0% vs. 52.5% voor de MSCI World. De fondswaarde per participatie per Augustus 2023 is EUR 164.03.

Juli 2023

Juli 2023: Fondsrendement 4.7%

Ons rendement in Juli 2023 is 4.7% (YTD: -0.9%). Sinds de start in mei 2019 bedraagt ons rendement 64.1% vs. 49.8% voor de MSCI World. De fondswaarde per participatie per Juli 2023 is EUR 164.09.

Juni 2023

Juni 2023: Fondsrendement -0.1%

Ons rendement in Juni 2023 is -0.1% (YTD: -5.3%). Sinds de start in mei 2019 bedraagt ons rendement 56.8% vs. 46.4% voor de MSCI World. De fondswaarde per participatie per Juni 2023 is EUR 156.78.

Mei 2023

Mei 2023: Fondsrendement -3.3%

Ons rendement in Mei 2023 is -3.3% (YTD: -5.2%). Sinds de start in mei 2019 bedraagt ons rendement 57.0% vs. 45.1% voor de MSCI World. De fondswaarde per participatie per Mei 2023 is EUR 157.01.

April 2023

April 2023: Fondsrendement -0.6%

Ons rendement in April 2023 is -0.6% (YTD: -1.9%). Sinds de start in mei 2019 bedraagt ons rendement 62.4% vs. 41.5% voor de MSCI World. De fondswaarde per participatie per April 2023 is EUR 162.43.

Maart 2023

Maart 2023: Fondsrendement 0.2%

Ons rendement in Maart 2023 is 0.2% (YTD: -1.3%). Sinds de start in mei 2019 bedraagt ons rendement 63.4% vs. 41.3% voor de MSCI World. De fondswaarde per participatie per Maart 2023 is EUR 163.43.

Februari 2023

Februari 2023: Fondsrendement -2.7%

Ons rendement in Februari 2023 is -2.7% (YTD: -1.5%). Sinds de start in mei 2019 bedraagt ons rendement 63.1% vs. 40.4% voor de MSCI World. De fondswaarde per participatie per Februari 2023 is EUR 163.07.

Januari 2023

Januari 2023: Fondsrendement 1.2%

Ons rendement in Januari 2023 is 1.2% (YTD: 1.2%). Sinds de start in mei 2019 bedraagt ons rendement 67.7% vs. 40.5% voor de MSCI World. De fondswaarde per participatie per Januari 2023 is EUR 167.67.

December 2022

December 2022: Fondsrendement -4.9%

Ons rendement in December 2022 is -4.9% (YTD: 5.5%). Sinds de start in mei 2019 bedraagt ons rendement 65.6% vs. 33.5% voor de MSCI World. De fondswaarde per participatie per December 2022 is EUR 165.62.

November 2022

November 2022: Fondsrendement 2.3%

Ons rendement in November 2022 is 2.3% (YTD: 10.9%). Sinds de start in mei 2019 bedraagt ons rendement 74.2% vs. 44.6% voor de MSCI World. De fondswaarde per participatie per November 2022 is EUR 174.19.

Oktober 2022

Oktober 2022: Fondsrendement 5.8%

Ons rendement in Oktober 2022 is 5.8% (YTD: 8.4%). Sinds de start in mei 2019 bedraagt ons rendement 70.3% vs. 40.8% voor de MSCI World. De fondswaarde per participatie per Oktober 2022 is EUR 170.28.

September 2022

September 2022: Fondsrendement -7.5%

Ons rendement in September 2022 is -7.5% (YTD: 2.5%). Sinds de start in mei 2019 bedraagt ons rendement 61.0% vs. 32.5% voor de MSCI World. De fondswaarde per participatie per September 2022 is EUR 161.02.

Augustus 2022

Augustus 2022: Fondsrendement 0.4%

Ons rendement in Augustus 2022 is 0.4% (YTD: 10.8%). Sinds de start in mei 2019 bedraagt ons rendement 74.0% vs. 42.4% voor de MSCI World. De fondswaarde per participatie per Augustus 2022 is EUR 173.98.

Juli 2022

Juli 2022: Fondsrendement 8.4%

Ons rendement in Juli 2022 is 8.4% (YTD: 10.4%). Sinds de start in mei 2019 bedraagt ons rendement 73.4% vs. 46.5% voor de MSCI World. De fondswaarde per participatie per Juli 2022 is EUR 173.36.

Juni 2022

Juni 2022: Fondsrendement -4.9%

Ons rendement in Juni 2022 is -4.9% (YTD: 1.9%). Sinds de start in mei 2019 bedraagt ons rendement 60.0% vs. 32.4% voor de MSCI World. De fondswaarde per participatie per Juni 2022 is EUR 159.99.

Mei 2022

Mei 2022: Fondsrendement -0.5%

Ons rendement in Mei 2022 is -0.5% (YTD: 7.2%). Sinds de start in mei 2019 bedraagt ons rendement 68.3% vs. 41.5% voor de MSCI World. De fondswaarde per participatie per Mei 2022 is EUR 168.28.

April 2022

April 2022: Fondsrendement 4.0%

Ons rendement in April 2022 is 4.0% (YTD: 7.7%). Sinds de start in mei 2019 bedraagt ons rendement 69.2% vs. 43.6% voor de MSCI World. De fondswaarde per participatie per April 2022 is EUR 169.15.

Maart 2022

Maart 2022: Fondsrendement 6.8%

Ons rendement in Maart 2022 is 6.8% (YTD: 3.6%). Sinds de start in mei 2019 bedraagt ons rendement 62.7% vs. 48.4% voor de MSCI World. De fondswaarde per participatie per Maart 2022 is EUR 162.70.

Februari 2022

Februari 2022: Fondsrendement 1.2%

Ons rendement in Februari 2022 is 1.2% (YTD: -3.0%). Sinds de start in mei 2019 bedraagt ons rendement 52.3% vs. 43.1% voor de MSCI World. De fondswaarde per participatie per Februari 2022 is EUR 152.30.

Januari 2022

Januari 2022: Fondsrendement -4.2%

Ons rendement in Januari 2022 is -4.2% (YTD: -4.2%). Sinds de start in mei 2019 bedraagt ons rendement 50.5% vs. 47.1% voor de MSCI World. De fondswaarde per participatie per Januari 2022 is EUR 150.45.

December 2021

December 2021: Fondsrendement 2.4%

Ons rendement in December 2021 is 2.4% (YTD: 28.4%). Sinds de start in mei 2019 bedraagt ons rendement 57.0% vs. 53.1% voor de MSCI World. De fondswaarde per participatie per December 2021 is EUR 157.02.

November 2021

November 2021: Fondsrendement -2.1%

Ons rendement in November 2021 is -2.1% (YTD: 25.4%). Sinds de start in mei 2019 bedraagt ons rendement 53.3% vs. 48.4% voor de MSCI World. De fondswaarde per participatie per November 2021 is EUR 153.32.

September 2021

September 2021: Fondsrendement 0.1%

Ons rendement in September 2021 is 0.1% (YTD: 25.3%). Sinds de start in mei 2019 bedraagt ons rendement 53.2% vs. 39.4% voor de MSCI World. De fondswaarde per participatie per September 2021 is EUR 153.20.

Augustus 2021

Augustus 2021: Fondsrendement 2.0%

Ons rendement in Augustus 2021 is 2.0% (YTD: 25.1%). Sinds de start in mei 2019 bedraagt ons rendement 53.0% vs. 42.8% voor de MSCI World. De fondswaarde per participatie per Augustus 2021 is EUR 153.00.

Juli 2021

Juli 2021: Fondsrendement -0.3%

Ons rendement in Juli 2021 is -0.3% (YTD: 22.6%). Sinds de start in mei 2019 bedraagt ons rendement 49.9% vs. 38.7% voor de MSCI World. De fondswaarde per participatie per Juli 2021 is EUR 149.93.

Juni 2021

Juni 2021: Fondsrendement 1.9%

Ons rendement in Juni 2021 is 1.9% (YTD: 23.0%). Sinds de start in mei 2019 bedraagt ons rendement 50.4% vs. 36.3% voor de MSCI World. De fondswaarde per participatie per Juni 2021 is EUR 150.37.

Mei 2021

Mei 2021: Fondsrendement 3.9%

Ons rendement in Mei 2021 is 3.9% (YTD: 20.6%). Sinds de start in mei 2019 bedraagt ons rendement 47.5% vs. 30.2% voor de MSCI World. De fondswaarde per participatie per Mei 2021 is EUR 147.51.

April 2021

April 2021: Fondsrendement 4.0%

Ons rendement in April 2021 is 4.0% (YTD: 16.0%). Sinds de start in mei 2019 bedraagt ons rendement 41.9% vs. 30.4% voor de MSCI World. De fondswaarde per participatie per April 2021 is EUR 141.91.

Maart 2021

Maart 2021: Fondsrendement 7.6%

Ons rendement in Maart 2021 is 7.6% (YTD: 11.5%). Sinds de start in mei 2019 bedraagt ons rendement 36.4% vs. 27.3% voor de MSCI World. De fondswaarde per participatie per Maart 2021 is EUR 136.40.

Februari 2021

Februari 2021: Fondsrendement 1.1%

Ons rendement in Februari 2021 is 1.1% (YTD: 3.7%). Sinds de start in mei 2019 bedraagt ons rendement 26.8% vs. 19.3% voor de MSCI World. De fondswaarde per participatie per Februari 2021 is EUR 126.81.

Januari 2021

Januari 2021: Fondsrendement 2.5%

Ons rendement in Januari 2021 is 2.5% (YTD: 2.5%). Sinds de start in mei 2019 bedraagt ons rendement 25.4% vs. 16.2% voor de MSCI World. De fondswaarde per participatie per Januari 2021 is EUR 125.40.

December 2020

December 2020: Fondsrendement 7.4%

Ons rendement in December 2020 is 7.4% (YTD: 3.6%). Sinds de start in mei 2019 bedraagt ons rendement 22.3%. De fondswaarde per participatie per December 2020 is EUR 122.28.

November 2020

November 2020: Fondsrendement 5.0%

Ons rendement in November 2020 is 5.0% (YTD: -3.5%). Sinds de start in mei 2019 bedraagt ons rendement 13.9% vs. 14.4% voor de MSCI World. De fondswaarde per participatie per November 2020 is EUR 113.84.

Oktober 2020

Oktober 2020: Fondsrendement -3.8%

Ons rendement in Oktober 2020 is -3.8% (YTD: -8.1%). Sinds de start in mei 2019 bedraagt ons rendement 8.5% vs. 4.1% voor de MSCI World. De fondswaarde per participatie per Oktober 2020 is EUR 108.48.

September 2020

September 2020: Fondsrendement 0.0%

Ons rendement in September 2020 is 0.0% (YTD: -4.4%). Sinds de start in mei 2019 bedraagt ons rendement 12.8% vs. 6.7% voor de MSCI World. De fondswaarde per participatie per September 2020 is EUR 112.80.

Augustus 2020

Augustus 2020: Fondsrendement 5.0%

Ons rendement in Augustus 2020 is 5.0% (YTD: -4.4%). Sinds de start in mei 2019 bedraagt ons rendement 12.8% vs. 8.4% voor de MSCI World. De fondswaarde per participatie per Augustus 2020 is EUR 112.80.

Juli 2020

Juli 2020: Fondsrendement -0.4%

Ons rendement in Juli 2020 is -0.4% (YTD: -9.0%). Sinds de start in mei 2019 bedraagt ons rendement 7.4% vs. 2.8% voor de MSCI World. De fondswaarde per participatie per Juli 2020 is EUR 107.40.

Juni 2020

Juni 2020: Fondsrendement 0.8%

Ons rendement in Juni 2020 is 0.8% (YTD: -8.5%). Sinds de start in mei 2019 bedraagt ons rendement 8.0% vs. 3.3% voor de MSCI World. De fondswaarde per participatie per Juni 2020 is EUR 108.00.

Mei 2020

Mei 2020: Fondsrendement 2.9%

Ons rendement in Mei 2020 is 2.9% (YTD: -9.2%). Sinds de start in mei 2019 bedraagt ons rendement 7.2% vs. 1.6% voor de MSCI World. De fondswaarde per participatie per Mei 2020 is EUR 107.20.

April 2020

April 2020: Fondsrendement 9.1%

Ons rendement in April 2020 is 9.1% (YTD: -11.8%). Sinds de start in mei 2019 bedraagt ons rendement 4.1%. De fondswaarde per participatie per April 2020 is EUR 104.10.

Maart 2020

Maart 2020: Fondsrendement -9.4%

Ons rendement in Maart 2020 is -9.4% (YTD: -19.1%). Sinds de start in mei 2019 bedraagt ons rendement -4.5% vs. -11.5% voor de MSCI World. De fondswaarde per participatie per Maart 2020 is EUR 95.50.

Februari 2020

Februari 2020: Fondsrendement -11.4%

Ons rendement in Februari 2020 is -11.4% (YTD: -10.7%). Sinds de start in mei 2019 bedraagt ons rendement 5.4%. De fondswaarde per participatie per Februari 2020 is EUR 105.41.

Januari 2020

Januari 2020: Fondsrendement 0.8%

Ons rendement in Januari 2020 is 0.8% (YTD: 0.8%). Sinds de start in mei 2019 bedraagt ons rendement 19.0%. De fondswaarde per participatie per Januari 2020 is EUR 118.98.

December 2019

December 2019: Maandrendement (5,3%)

AlphaTower behaalde in december 2019 een rendement van 5,3%; het cumulatief rendement sinds de start bedraagt 18,0%.

November 2019

November 2019: Maandrendement (4,1%)

Onze performance over november 2019 is 4,1% en het cumulatief rendement vanaf april 2019 is +12%.

Oktober 2019

Oktober 2019: Maandrendement

Over oktober 2019 is AlphaTower gelijk gebleven: 0% versus MSCI Wereldaandelen Index +0,2%.

September 2019

September 2019: Maandrendement (+6.3%)

Correctie: onze performance over september 2019 is 6.3%, geen 5.7%.

Augustus 2019

Augustus 2019: Maandrendement

Correctie: onze performance over augustus 2019 is -2.2%, geen -2.4%.

Juli 2019

Juli 2019: Maandrendement

Het maandrendement over juli 2019 is +4.0% en het cumulatief rendement vanaf april 2019 is +3.6%.

Juni 2019

Juni 2019: Maandrendement

AlphaTower heeft een lage correlatie met de Wereld aandelenindex; het maandrendement over juni 2019 is +0.4%.

Mei 2019

Mei 2019: Maandrendement

Voorzichtig beleggen werkt: het maandrendement voor mei 2019 is -0.8%, tegenover -5% of slechter voor wereldwijde aandelenindices.