Consolidated Returns as of 31 March 2024
Holding the iShares MSCI Malaysia ETF (EWM) ETF, how long should you stay invested to have high probability to obtain a positive return?
Considering all the available data source (~27 years), the longest period with a negative return lasted 307 months (from March 1997 to September 2022).
This means that every rolling period of 308 months or above has always granted a positive return.
To obtain comprehensive information, please consult the iShares MSCI Malaysia ETF (EWM) ETF: Historical Returns page.
Rolling Returns
A rolling return is a measure of investment performance that calculates the return of an investment over a set period of time, with the starting date rolling forward. This approach can provide a more accurate representation of the investment's historical performance and helps investors to evaluate the investment's consistency over time.
Annualized Rolling Returns - 1 Year (12 months)
Median | Best | Worst | Negative Periods | |
---|---|---|---|---|
Annualized Rolling Return | +3.22% |
+200.99%
Sep 1998 - Aug 1999 |
-74.84%
Sep 1997 - Aug 1998 |
42.09%
133 out of 316 |
US Inflation Adjusted | +0.69% |
+194.33%
Sep 1998 - Aug 1999 |
-75.24%
Sep 1997 - Aug 1998 |
47.78%
151 out of 316 |
Annualized Rolling Returns - 2 Years (24 months)
Median | Best | Worst | Negative Periods | |
---|---|---|---|---|
Annualized Rolling Return | +4.17% |
+79.02%
Sep 1998 - Aug 2000 |
-53.15%
Apr 1997 - Mar 1999 |
42.43%
129 out of 304 |
US Inflation Adjusted | +1.74% |
+74.14%
Sep 1998 - Aug 2000 |
-53.87%
Apr 1997 - Mar 1999 |
46.05%
140 out of 304 |
Annualized Rolling Returns - 3 Years (36 months)
Median | Best | Worst | Negative Periods | |
---|---|---|---|---|
Annualized Rolling Return | +3.99% |
+39.34%
Sep 1998 - Aug 2001 |
-19.94%
Mar 1997 - Feb 2000 |
37.33%
109 out of 292 |
US Inflation Adjusted | +1.70% |
+35.57%
Sep 1998 - Aug 2001 |
-21.59%
Mar 1997 - Feb 2000 |
45.55%
133 out of 292 |
Annualized Rolling Returns - 4 Years (48 months)
Median | Best | Worst | Negative Periods | |
---|---|---|---|---|
Annualized Rolling Return | +3.39% |
+33.41%
Sep 1998 - Aug 2002 |
-23.90%
Jun 1997 - May 2001 |
39.29%
110 out of 280 |
US Inflation Adjusted | +1.29% |
+30.13%
Sep 1998 - Aug 2002 |
-25.84%
Jun 1997 - May 2001 |
45.71%
128 out of 280 |
Annualized Rolling Returns - 5 Years (60 months)
Median | Best | Worst | Negative Periods | |
---|---|---|---|---|
Annualized Rolling Return | +4.38% |
+27.86%
Sep 1998 - Aug 2003 |
-17.14%
Jan 1997 - Dec 2001 |
37.31%
100 out of 268 |
US Inflation Adjusted | +1.76% |
+24.79%
Sep 1998 - Aug 2003 |
-18.93%
Jan 1997 - Dec 2001 |
45.90%
123 out of 268 |
Annualized Rolling Returns - 6 Years (72 months)
Median | Best | Worst | Negative Periods | |
---|---|---|---|---|
Annualized Rolling Return | +5.65% |
+25.36%
Oct 1998 - Sep 2004 |
-15.12%
Mar 1997 - Feb 2003 |
33.59%
86 out of 256 |
US Inflation Adjusted | +3.27% |
+22.28%
Oct 1998 - Sep 2004 |
-17.07%
Mar 1997 - Feb 2003 |
41.41%
106 out of 256 |
Annualized Rolling Returns - 7 Years (84 months)
Median | Best | Worst | Negative Periods | |
---|---|---|---|---|
Annualized Rolling Return | +5.80% |
+23.25%
Oct 1998 - Sep 2005 |
-9.20%
Jan 1997 - Dec 2003 |
32.38%
79 out of 244 |
US Inflation Adjusted | +3.97% |
+19.94%
Sep 1998 - Aug 2005 |
-11.17%
Jan 1997 - Dec 2003 |
37.30%
91 out of 244 |
Annualized Rolling Returns - 8 Years (96 months)
Median | Best | Worst | Negative Periods | |
---|---|---|---|---|
Annualized Rolling Return | +5.90% |
+21.49%
Sep 1998 - Aug 2006 |
-7.09%
Mar 1997 - Feb 2005 |
31.03%
72 out of 232 |
US Inflation Adjusted | +4.10% |
+18.18%
Sep 1998 - Aug 2006 |
-9.23%
Mar 1997 - Feb 2005 |
36.21%
84 out of 232 |
Annualized Rolling Returns - 9 Years (108 months)
Median | Best | Worst | Negative Periods | |
---|---|---|---|---|
Annualized Rolling Return | +5.66% |
+25.05%
Oct 1998 - Sep 2007 |
-5.99%
Jan 1997 - Dec 2005 |
28.18%
62 out of 220 |
US Inflation Adjusted | +3.70% |
+21.71%
Oct 1998 - Sep 2007 |
-8.26%
Jan 1997 - Dec 2005 |
34.09%
75 out of 220 |
Annualized Rolling Returns - 10 Years (120 months)
Median | Best | Worst | Negative Periods | |
---|---|---|---|---|
Annualized Rolling Return | +6.94% |
+19.95%
Sep 1998 - Aug 2008 |
-4.43%
Jun 2013 - May 2023 |
23.08%
48 out of 208 |
US Inflation Adjusted | +5.05% |
+16.51%
Sep 1998 - Aug 2008 |
-6.96%
Jun 2013 - May 2023 |
28.37%
59 out of 208 |
Annualized Rolling Returns - 11 Years (132 months)
Median | Best | Worst | Negative Periods | |
---|---|---|---|---|
Annualized Rolling Return | +6.44% |
+19.30%
Oct 1998 - Sep 2009 |
-3.15%
Nov 2012 - Oct 2023 |
15.82%
31 out of 196 |
US Inflation Adjusted | +4.49% |
+16.33%
Oct 1998 - Sep 2009 |
-5.62%
Nov 2012 - Oct 2023 |
24.49%
48 out of 196 |
Annualized Rolling Returns - 12 Years (144 months)
Median | Best | Worst | Negative Periods | |
---|---|---|---|---|
Annualized Rolling Return | +7.13% |
+20.80%
Oct 1998 - Sep 2010 |
-3.87%
Mar 1997 - Feb 2009 |
15.22%
28 out of 184 |
US Inflation Adjusted | +5.10% |
+17.93%
Oct 1998 - Sep 2010 |
-6.14%
Mar 1997 - Feb 2009 |
24.46%
45 out of 184 |
Annualized Rolling Returns - 13 Years (156 months)
Median | Best | Worst | Negative Periods | |
---|---|---|---|---|
Annualized Rolling Return | +7.10% |
+19.61%
Sep 1998 - Aug 2011 |
-1.70%
Nov 2010 - Oct 2023 |
7.56%
13 out of 172 |
US Inflation Adjusted | +5.01% |
+16.66%
Sep 1998 - Aug 2011 |
-4.24%
Nov 2010 - Oct 2023 |
24.42%
42 out of 172 |
Annualized Rolling Returns - 14 Years (168 months)
Median | Best | Worst | Negative Periods | |
---|---|---|---|---|
Annualized Rolling Return | +7.30% |
+18.65%
Oct 1998 - Sep 2012 |
+0.32%
Apr 2010 - Mar 2024 |
0.00%
0 out of 160 |
US Inflation Adjusted | +5.15% |
+15.76%
Sep 1998 - Aug 2012 |
-2.25%
Apr 2010 - Mar 2024 |
18.13%
29 out of 160 |
Annualized Rolling Returns - 15 Years (180 months)
Median | Best | Worst | Negative Periods | |
---|---|---|---|---|
Annualized Rolling Return | +6.73% |
+17.74%
Oct 1998 - Sep 2013 |
-0.35%
Nov 2007 - Oct 2022 |
0.68%
1 out of 148 |
US Inflation Adjusted | +4.58% |
+14.97%
Oct 1998 - Sep 2013 |
-2.67%
Nov 2007 - Oct 2022 |
14.19%
21 out of 148 |
Annualized Rolling Returns - 16 Years (192 months)
Median | Best | Worst | Negative Periods | |
---|---|---|---|---|
Annualized Rolling Return | +6.44% |
+17.26%
Sep 1998 - Aug 2014 |
-0.26%
Nov 2007 - Oct 2023 |
1.47%
2 out of 136 |
US Inflation Adjusted | +4.18% |
+14.55%
Sep 1998 - Aug 2014 |
-2.63%
Nov 2007 - Oct 2023 |
11.76%
16 out of 136 |
Annualized Rolling Returns - 17 Years (204 months)
Median | Best | Worst | Negative Periods | |
---|---|---|---|---|
Annualized Rolling Return | +6.26% |
+13.32%
Sep 1998 - Aug 2015 |
+1.31%
Apr 2007 - Mar 2024 |
0.00%
0 out of 124 |
US Inflation Adjusted | +4.12% |
+10.84%
Sep 1998 - Aug 2015 |
-1.16%
Apr 2007 - Mar 2024 |
4.03%
5 out of 124 |
Annualized Rolling Returns - 18 Years (216 months)
Median | Best | Worst | Negative Periods | |
---|---|---|---|---|
Annualized Rolling Return | +6.06% |
+13.19%
Sep 1998 - Aug 2016 |
+1.97%
Feb 1997 - Jan 2015 |
0.00%
0 out of 112 |
US Inflation Adjusted | +3.84% |
+10.78%
Sep 1998 - Aug 2016 |
-0.20%
Feb 1997 - Jan 2015 |
1.79%
2 out of 112 |
Annualized Rolling Returns - 19 Years (228 months)
Median | Best | Worst | Negative Periods | |
---|---|---|---|---|
Annualized Rolling Return | +5.86% |
+12.72%
Oct 1998 - Sep 2017 |
+0.75%
Mar 1997 - Feb 2016 |
0.00%
0 out of 100 |
US Inflation Adjusted | +3.61% |
+10.31%
Oct 1998 - Sep 2017 |
-1.33%
Mar 1997 - Feb 2016 |
5.00%
5 out of 100 |
Annualized Rolling Returns - 20 Years (240 months)
Median | Best | Worst | Negative Periods | |
---|---|---|---|---|
Annualized Rolling Return | +5.62% |
+12.43%
Sep 1998 - Aug 2018 |
+0.65%
Jan 1997 - Dec 2016 |
0.00%
0 out of 88 |
US Inflation Adjusted | +3.19% |
+10.03%
Sep 1998 - Aug 2018 |
-1.45%
Jan 1997 - Dec 2016 |
6.82%
6 out of 88 |
To obtain comprehensive information, please consult the iShares MSCI Malaysia ETF (EWM) ETF: Historical Returns page.