Lazard Emerging Markets Equity Portfolio

Quarterly Returns (%)
Years Q1 Q2 Q3 Q4 Annual
1994 0 -100 16.6 -15.44 0
1995 -14.81 8.81 3.5 -1.17 -5.88
1996 10.39 9.14 0.09 2.72 23.64
1997 10.17 12.07 -6.96 -21.44 -9.76
1998 8.7 -17.5 -23.59 11.67 -23.48
1999 6.2 20.22 -8.09 32.8 55.83
2000 -1.4 -7.2 -12.26 -11.09 -29.54
2001 -7.58 10.38 -20.9 22.07 -3.15
2002 12.05 -5.66 -15.58 11.54 -0.35
2003 -9.14 24.46 14.36 19.43 54.44
2004 6.85 -7.45 11.24 18.92 30.81
2005 3.72 5.31 21.43 6.61 41.4
2006 10.82 -5.87 8 15.22 30.47
2007 2.96 14.04 7.66 1.65 33.11
2008 -7.08 -0.9 -18.62 -30.62 -48.01
2009 -2.21 34.12 22.35 5.82 69.83
2010 6.05 -8.95 20.79 5.3 22.81
2011 -0.78 0.51 -20.6 3.79 -17.82
2012 17.32 -8.36 6.8 5.56 22.34
2013 -1.13 -7.4 6.25 1.79 -0.77
2014 -0.43 9.63 -5.89 -6.66 -4.12
2015 -1.92 0.89 -19.09 -0.29 -20.16
2016 8.71 4.79 8.84 -2.81 20.5
2017 10.4 2.16 6.82 6.33 28.02
2018 2.05 -12.49 -0.84 -5.51 -18.11
2019 7.53 0.68 -5.38 9.35 15.07
2020 -30.09 12.46 0.16 23.96 -2.38
2021 4.99 5.54 -9.07 -0.31 0.44
2022 -4.03 -11.5 -10.79 6.12 -19.59
2023 7.89 4.96 -1.27 5.92 17.84
2024 2.45 -0.68 0 0 4.37