iShares MSCI France ETF (EWQ): Rolling Returns

Simulation Settings
Category:
Period: January 1997 - June 2025 (~29 years)
Initial Amount: 1$
Currency: USD
Inflation: US
(Change Settings)
The minimum date range must be at least 24 months. 'Date To' cannot be beyond June 2025.
Reset settings
Close

When holding the iShares MSCI France ETF (EWQ) ETF, how long should you stay invested to have high probability to achieve a positive return?

Over the selected period (~29 years), the longest duration with a negative return was 161 months (from June 2007 to October 2020).

This indicates that, within the same timeframe, any rolling period of 162 months or more has consistently resulted in a positive return.

Understanding this metric is crucial as it highlights the importance of a safe investment horizon. Knowing the minimum duration required to likely see positive returns helps investors set realistic expectations and reinforces the strategy of staying invested through market cycles. This approach can mitigate the emotional reactions to short-term market fluctuations and enhance the likelihood of achieving financial goals.

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.

ISHARES MSCI FRANCE ETF (EWQ) ETF
Annualized Rolling Returns
Annualized Rolling Returns - Inflation Adjusted
Time Period: 1 July 2005 - 30 June 2025 (20 Years)
Time Period: 1 January 1997 - 30 June 2025 (~29 years)
All Data
(1997/01 - 2025/06)
US Inflation Adjusted:

Loading data
Please wait

Loading data
Please wait

Loading data
Please wait

Loading data
Please wait

Loading data
Please wait

Loading data
Please wait

Rolling Period Analysis

By selecting the 'Rolling Period', the chart and data will update. To study a different date range, change the simulation settings.

ISHARES MSCI FRANCE ETF (EWQ) ETF
Rolling Returns Chart
Rolling Returns Chart - Inflation Adjusted
Time Period: 1 January 1997 - 30 June 2025 (~29 years)
Over Time
Histogram
US Inflation Adjusted:

Loading data
Please wait

Loading data
Please wait
Swipe left to see all data
Worst Median Best Negative Periods
-50.81%
Mar 2008 - Feb 2009
+10.47% +60.36%
Apr 2003 - Mar 2004
35.65%
118 out of 331
-50.81%
Mar 2008 - Feb 2009
+7.34% +57.62%
Apr 2003 - Mar 2004
39.58%
131 out of 331
-29.70%
Mar 2007 - Feb 2009
+8.32% +38.74%
Apr 2003 - Mar 2005
30.09%
96 out of 319
-31.12%
Mar 2007 - Feb 2009
+5.53% +35.39%
Apr 2003 - Mar 2005
36.68%
117 out of 319
-18.72%
Apr 2000 - Mar 2003
+6.43% +33.02%
Apr 2003 - Mar 2006
25.73%
79 out of 307
-20.67%
Apr 2000 - Mar 2003
+3.67% +29.42%
Apr 2003 - Mar 2006
35.50%
109 out of 307
-13.01%
Jun 2008 - May 2012
+5.92% +30.20%
Apr 2003 - Mar 2007
23.05%
68 out of 295
-14.77%
Oct 2007 - Sep 2011
+3.63% +26.67%
Apr 2003 - Mar 2007
28.47%
84 out of 295
-11.05%
Jun 2007 - May 2012
+4.78% +25.77%
Oct 2002 - Sep 2007
15.55%
44 out of 283
-12.82%
Jun 2007 - May 2012
+2.13% +22.23%
Oct 2002 - Sep 2007
30.39%
86 out of 283
-4.89%
Jun 2006 - May 2012
+5.60% +16.13%
Oct 2001 - Sep 2007
11.81%
32 out of 271
-6.89%
Jun 2006 - May 2012
+3.04% +13.12%
Oct 2001 - Sep 2007
16.97%
46 out of 271
-2.94%
Nov 2007 - Oct 2014
+6.39% +12.86%
Oct 2002 - Sep 2009
9.65%
25 out of 259
-4.68%
Nov 2007 - Oct 2014
+3.65% +10.04%
Oct 2002 - Sep 2009
20.46%
53 out of 259
-2.65%
Feb 2001 - Jan 2009
+6.34% +12.13%
Apr 2003 - Mar 2011
10.53%
26 out of 247
-4.91%
Feb 2001 - Jan 2009
+3.82% +9.46%
Apr 2003 - Mar 2011
17.41%
43 out of 247
-3.50%
Mar 2000 - Feb 2009
+5.59% +12.42%
Dec 1997 - Nov 2006
9.36%
22 out of 235
-5.87%
Mar 2000 - Feb 2009
+3.17% +9.67%
Dec 1997 - Nov 2006
19.15%
45 out of 235
-0.70%
Jul 2000 - Jun 2010
+5.21% +13.63%
Jun 1997 - May 2007
3.14%
7 out of 223
-2.98%
Jul 2000 - Jun 2010
+3.07% +10.75%
Jun 1997 - May 2007
18.83%
42 out of 223
-0.27%
Jan 2008 - Dec 2018
+4.70% +12.18%
Jan 1997 - Dec 2007
1.42%
3 out of 211
-2.37%
Jan 2001 - Dec 2011
+2.48% +9.32%
Jan 1997 - Dec 2007
15.64%
33 out of 211
-0.53%
Jun 2000 - May 2012
+5.10% +9.89%
Jun 2012 - May 2024
2.51%
5 out of 199
-2.90%
Jun 2000 - May 2012
+2.67% +7.45%
Mar 2009 - Feb 2021
17.59%
35 out of 199
-0.53%
May 2007 - Apr 2020
+5.14% +9.51%
Jun 2012 - May 2025
2.14%
4 out of 187
-2.19%
May 2007 - Apr 2020
+2.81% +6.89%
Mar 2009 - Feb 2022
13.90%
26 out of 187
+1.15%
Apr 2006 - Mar 2020
+4.35% +9.13%
Mar 2009 - Feb 2023
0.00%
0 out of 175
-0.69%
Apr 2006 - Mar 2020
+2.16% +6.44%
Mar 2009 - Feb 2023
3.43%
6 out of 175
+0.56%
Oct 2007 - Sep 2022
+4.68% +9.40%
Mar 2009 - Feb 2024
0.00%
0 out of 163
-1.76%
Oct 2007 - Sep 2022
+2.45% +6.66%
Mar 2009 - Feb 2024
6.75%
11 out of 163
+1.53%
Mar 2000 - Feb 2016
+4.70% +8.88%
Mar 2009 - Feb 2025
0.00%
0 out of 151
-0.56%
Mar 2000 - Feb 2016
+2.61% +6.14%
Mar 2009 - Feb 2025
5.96%
9 out of 151
+2.17%
Mar 2000 - Feb 2017
+4.68% +7.74%
Oct 2002 - Sep 2019
0.00%
0 out of 139
+0.02%
Mar 2000 - Feb 2017
+2.37% +5.55%
Oct 2002 - Sep 2019
0.00%
0 out of 139
+2.75%
Jan 2001 - Dec 2018
+4.76% +8.23%
Apr 2003 - Mar 2021
0.00%
0 out of 127
+0.60%
Jan 2007 - Dec 2024
+2.35% +6.06%
Apr 2003 - Mar 2021
0.00%
0 out of 127
+2.64%
Jan 2000 - Dec 2018
+5.25% +8.23%
Oct 2002 - Sep 2021
0.00%
0 out of 115
+0.49%
Jan 2000 - Dec 2018
+2.82% +5.89%
Oct 2002 - Sep 2021
0.00%
0 out of 115
+1.99%
Apr 2000 - Mar 2020
+5.73% +8.20%
Apr 2003 - Mar 2023
0.00%
0 out of 103
-0.09%
Apr 2000 - Mar 2020
+3.29% +5.56%
Apr 2003 - Mar 2023
0.97%
1 out of 103
+3.94%
Jan 2000 - Dec 2024
+5.42% +7.01%
Jan 1997 - Dec 2021
0.00%
0 out of 43
+1.34%
Jan 2000 - Dec 2024
+2.82% +4.60%
Jan 1997 - Dec 2021
0.00%
0 out of 43
Build wealth
with Lazy Portfolios and Passive Investing