UniCredit (UCG-MI)

EURO STOXX 50 · Financials · data since 2000-01-03 · last close 2026-07-24

1d
+1.53%
7d
-0.21%
30d
+3.43%
YTD
+16.19%
1y
+37.69%

UniCredit (UCG-MI) monthly returns (%)

YearJanFebMarAprMayJunJulAugSepOctNovDec
20263.6-1.4-15.910.513.15.42.8·····
202515.313.91.81.911.00.613.62.2-2.4-0.72.410.7
202410.613.813.83.65.2-4.99.7-1.55.33.3-8.55.9
202334.88.2-10.08.5-0.118.78.2-1.90.73.95.8-1.7
20223.3-18.6-13.5-4.322.4-16.85.72.36.720.03.81.9
2021-1.213.05.5-3.622.6-5.21.64.58.8-0.7-6.426.7
2020-7.2-4.5-38.1-1.69.16.8-5.76.8-14.6-9.135.0-11.5
20192.018.6-4.510.2-17.46.3-1.6-5.67.55.110.53.6
201813.9-1.7-2.67.7-21.41.16.1-18.04.3-12.70.6-13.1
2017-8.00.314.23.44.25.01.82.75.4-8.82.9-7.8
2016-30.9-3.2-7.710.3-14.8-31.511.35.2-10.29.1-10.535.2
2015-1.913.66.51.90.7-5.40.2-3.4-4.55.6-5.5-7.6
20143.73.315.0-2.91.0-4.4-4.20.56.3-8.03.2-10.3
201328.3-18.2-14.418.913.3-18.113.74.510.117.6-3.60.8
2012-10.43.1-3.8-20.0-17.620.3-7.113.72.75.45.13.5
201116.93.0-6.4-0.3-7.4-7.5-14.4-24.6-14.85.7-8.8-16.9
2010-9.8-8.117.8-8.8-11.25.716.9-13.91.10.0-20.43.8
2009-20.8-26.923.050.518.8-2.914.523.05.6-14.2-0.73.0
2008-13.1-1.0-13.215.1-2.6-13.5-0.9-4.3-29.5-27.3-5.3-2.5
20076.9-1.41.86.4-4.9-5.0-5.30.2-4.6-1.5-1.4-2.5
20060.93.9-2.30.13.32.9-1.63.25.2-0.80.41.8
2005-15.64.42.8-4.41.83.90.15.71.6-0.712.810.8
20041.6-2.5-8.50.33.25.7-2.0-1.03.03.7-1.420.5
2003-12.111.0-6.212.33.36.70.51.4-4.04.4-1.22.1
20020.71.126.6-9.6-4.6-4.2-13.8-2.3-5.23.85.5-5.0
20010.7-5.9-7.28.6-102.2-2.7-4.5-2.1-11.6-2.12.75.0
2000-14.5-5.98.67.2-102.15.75.010.71.61.5-4.2-3.1
Avg-0.10.4-0.64.5-6.4-1.01.90.3-1.00.10.52.1

Values in %. Current and first-listed months are partial (greyed).

returnsview.com

Seasonality — average by calendar month

MonthJanFebMarAprMayJunJulAugSepOctNovDec
Avg-0.1%+0.5%-0.6%+4.5%-6.4%-1.0%+1.8%+0.3%-1.0%+0.1%+0.5%+2.0%
Win rate56%/2752%/2744%/2767%/2756%/2752%/2758%/2658%/2662%/2650%/2650%/2658%/26

Win rate = share of positive months / sample size.

Risk & extremes

Max drawdown
-102.5%
Worst peak-to-trough fall on record
Monthly volatility
±13.7%
Std. dev. of monthly returns
Positive months
55%
Share of completed months in the green
Best month
+50.48%
2009-04
Worst month
-102.17%
2001-05
Longest streaks
9▲ / 10▼
Consecutive up / down months

Drawdown & rolling returns

-103%-51%0%

Percent below the all-time high at each month-end — how far underwater the asset was.

About UniCredit

UniCredit has survived more market cycles than most coins have months — with price receipts on this site going back to 2000. Since 2000 it is down 100% overall — surviving is its own genre of awesome.

Did you know?

  • Its best month on record was April 2009 at +50.48%; its worst, May 2001 at -102.17%.

Trivia for entertainment — the numbers come from our price data; the jokes don't.