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Aviva Income Growth (SP) Performance figures as of: 20/01/2006
Unit Trust Centre > Singapore Insurance Linked > Asset Alloc Asia Pac ex Japan Defensive > Aviva Income Growth (SP)

Overview | Performance (Cumulative | Consistency | Volatility)
The performances are calculated on a bid to bid basis with the inclusion of any income or capital gains dividends being reinvested at the dividend date. The fund performances shown are percentage growth values in S$.

Cumulative Performance Analysis (% growth in Singapore Dollar, 20/01/2006)
   6 mo  1 yr  3 yr  5 yr  10 yr
Aviva Income Growth (SP)  3.090  7.240  24.100    
Sector (Asset Alloc Asia Pac ex Japan Defensive)  3.330  7.780  25.910  33.010  
Absolute Ranking in Sector  2/2  2/2  2/2    
Best Fund in Sector (click to see best fund for each period)  3.560  8.320  27.730  33.010  
Quartile Ranking  3  3  3    

Percentage return on investment over entire period shown, assuming reinvestment of all income generated. Also shows ranking within General Sector. Quartile ranking shows which of four quartiles the fund is in for each period.


Consistency of Performance Analysis (% growth in Singapore Dollar, 20/01/2006)
   0-12 mo  12-24 mo  24-36 mo  48-60 mo  108-120 mo
Aviva Income Growth (SP)  7.160  5.870  9.090    
Sector (Asset Alloc Asia Pac ex Japan Defensive)  7.630  6.500  9.570  4.070  
Quartile Ranking  3  3  3    

Percentage growth for each discrete 12-month period. Also shows ranking within General Sector for each discrete 12 month period. Quartile ranking shows which of four quartiles the fund was in for each discrete period.


Volatility Analysis (% deviation from average for each period, 20/01/2006)
   3 yr  4 yr  5 yr  7 yr  10 yr
Aviva Income Growth (SP)  1.480        
Sector (Asset Alloc Asia Pac ex Japan Defensive)  1.490  1.510  1.640  1.900  
Volatility Ranking in Sector  1/2        
Least Volatile Fund in Sector  1.480  1.510  1.640  1.900  
Most Volatile Fund in Sector  1.500  1.510  1.640  1.900  
Quartile Ranking  2        

Shows percentage deviation from average change for sector. Sector volatility shows sector's standard deviation from average for all sectors.

 

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