L&G Emerging Markets Quality Dividends Equal Weight ETF USD Dis (LDME.L) Total Returns

Growth of £10,000 chart

2021-07-15 to 2026-03-18
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Final Value Total Return CAGR Dividends Yield on Cost
Nominal £15,009.82 50.10% 9.08% £1,968.17 19.68%
Real * £12,285.77 22.86% 4.50% £1,701.21 17.01%
* Adjusted to Jul 2021 purchasing power (UK CPI) Taxes: £393.65 · Transaction costs: £3.14 Reinvested dividends with 20% tax, 0.2% cost per reinvestment.

Rolling 1-Year Returns (252 Trading Days)

Metric Value
Average Rolling Return +8.39%
Median Rolling Return +8.28%
Best Rolling Return +49.23%
Worst Rolling Return -8.42%
% of Windows Positive 86.0%

Risk Metrics

Metric Value
Maximum Drawdown -25.09%
Drawdown Duration 100 Trading Days (Unrecovered)
Sortino Ratio 0.79
Calmar Ratio 0.44
CVaR (5%) -2.30%

Yearly Returns

Year Return Abs. Return Dividends Taxes Trans. Costs
2026 partial +7.74% (+42.43% ann.) +£774.06 £51.45 £10.29 £0.08
2025 +16.31% +£1631.45 £413.26 £82.65 £0.66
2024 +10.48% +£1047.69 £396.44 £79.29 £0.64
2023 +9.80% +£979.70 £381.87 £76.38 £0.61
2022 -3.20% £320.01 £430.29 £86.06 £0.69
2021 partial +2.01% (+4.39% ann.) +£200.59 £155.73 £31.15 £0.25

Market Regime Returns

Regime Period Return Ann. Return Abs. Return Dividends Taxes Trans. Costs
Reopening reflation / fiscal boom / supply bottlenecks partial 2021-07-15 – 2021-11-29 -0.86% -2.29% £86.43 £110.60 £22.12 £0.18
Inflation shock / duration crash / aggressive tightening 2021-11-30 – 2022-11-09 -2.54% -2.70% £254.37 £437.97 £87.60 £0.69
Disinflation rebound / AI-led narrow bull / higher-for-longer 2022-11-10 – 2024-09-17 +15.57% +8.12% +£1556.84 £822.97 £164.60 £1.32
Disinflationary easing / resilient growth / AI capex under oil-shock test partial 2024-09-18 – 2026-03-18 +35.39% +22.47% +£3539.17 £566.07 £113.21 £0.90

Dividend History

Date Per Share Yield % Total Yield Tax Trans. Cost Shares Bought
2021-09-09 £8.0776 1.10% £110.60 £22.12 £0.18 0.1209
2021-12-09 £3.2672 0.44% £45.13 £9.03 £0.07 0.0484
2022-03-10 £2.4391 0.35% £33.81 £6.76 £0.05 0.0385
2022-06-09 £7.6711 1.06% £106.63 £21.33 £0.17 0.1204
2022-09-15 £17.9092 2.48% £251.09 £50.22 £0.40 0.2856
2022-12-15 £3.3123 0.49% £47.39 £9.48 £0.08 0.0565
2023-03-09 £0.5420 0.07% £7.78 £1.56 £0.01 0.0086
2023-06-15 £7.3775 1.03% £106.02 £21.20 £0.17 0.1189
2023-09-14 £14.6195 2.02% £211.83 £42.37 £0.34 0.2348
2023-12-14 £3.4930 0.49% £51.43 £10.29 £0.08 0.0570
2024-03-14 £2.1079 0.28% £31.16 £6.23 £0.05 0.0329
2024-06-13 £8.1077 1.05% £120.11 £24.02 £0.19 0.1255
2024-09-12 £14.5668 1.95% £217.63 £43.53 £0.35 0.2383
2024-12-12 £4.0125 0.50% £60.90 £12.18 £0.10 0.0611
2025-03-13 £3.3876 0.44% £51.63 £10.33 £0.08 0.0530
2025-06-12 £9.7187 1.19% £148.62 £29.72 £0.24 0.1490
2025-09-11 £14.2130 1.64% £219.47 £43.89 £0.35 0.2034
2025-12-11 £4.8104 0.54% £75.26 £15.05 £0.12 0.0676
2026-03-12 £4.5620 0.48% £71.68 £14.34 £0.11 0.0608
Total 19 payments £1968.17 £393.65 £3.14 2.0812
EMXC

iShares MSCI Emerging Markets ex China ETF

CAGR 7.36% Total 84.72% Final $18,471.67
2017-07-26 — 2026-03-18
PRIMO.MI

Fineco AM Active Collection Europe UCITS ETF A EUR Acc

CAGR 14.50% Total 10.65% Final €11,065.03
2025-06-18 — 2026-03-18
AUEM.PA

Amundi Index Solutions - Amundi MSCI Emerging Markets Swap UCITS ETF USD Acc

CAGR 3.94% Total 80.29% Final $18,029.18
2010-12-21 — 2026-03-18