NAV2024-05-24 Chg.+25.8799 Type of yield Investment Focus Investment company
3,475.3799USD +0.75% paying dividend Equity Mixed Sectors LRI Invest 
  • Dividends adjusted Dividends adjusted

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2015 -4.62 6.90 -1.54 1.45 1.63 -2.08 2.78 -7.21 -3.71 11.16 0.50 -0.33 +3.62%
2016 -8.18 -0.46 7.84 0.71 2.52 0.42 4.36 0.13 0.23 -1.89 4.52 2.07 +12.05%
2017 2.19 4.23 0.25 1.36 1.60 0.72 2.34 0.42 2.38 2.45 3.36 1.25 +24.93%
2018 5.90 -4.15 -3.53 1.47 2.85 0.36 4.46 3.50 0.62 -9.38 2.87 -14.35 -10.90%
2019 12.79 3.56 2.24 4.42 -7.65 9.04 1.65 -1.98 2.29 2.83 3.90 2.59 +40.29%
2020 -0.10 -13.32 -4.74 13.74 5.56 1.64 6.35 7.62 -3.77 -3.45 13.33 3.58 +25.66%
2021 -0.32 2.98 5.51 5.73 1.10 2.80 2.64 3.54 -5.46 8.67 -0.95 5.75 +36.11%
2022 -6.32 -3.65 4.69 -11.06 -0.78 -10.38 11.39 -5.83 -13.25 10.92 6.38 -6.70 -25.14%
2023 8.50 -2.89 4.53 1.97 0.98 7.08 3.67 -1.63 -6.26 -2.54 11.54 4.87 +32.35%
2024 2.00 5.67 3.57 -4.52 6.41 - - - - - - - -
Single months: Dividends not considered

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 12.79% 12.08% 14.28% 22.22% 24.37%
Sharpe ratio 2.67 3.31 2.19 0.28 0.57
Best month +6.41% +11.54% +11.54% +11.54% +13.74%
Worst month -4.52% -4.52% -6.26% -13.25% -13.32%
Maximum loss -6.70% -6.70% -12.86% -32.86% -32.86%
Outperformance +12.23% - +8.49% +56.31% +100.06%
 
All quotes in USD

Tranches

Name   Type of yield Repurchase p. 1 Year 3 Years
US EquityFlex I USD paying dividend 3,475.3799 +35.14% +32.79%
US EquityFlex E EUR paying dividend 2,141.4399 +32.14% +24.47%
US EquityFlex X USD paying dividend 3,668.8701 +35.89% +35.03%
US EquityFlex Y paying dividend 3,682.1399 +35.83% +34.75%
US EquityFlex P USD paying dividend 3,438.8501 +34.33% +30.59%

Performance

YTD  
+13.42%
6 Months  
+19.39%
1 Year  
+35.14%
3 Years  
+32.79%
5 Years  
+125.82%
10 Years     -
Since start  
+248.49%
Year
2023  
+32.35%
2022
  -25.14%
2021  
+36.11%
2020  
+25.66%
2019  
+40.29%
2018
  -10.90%
2017  
+24.93%
2016  
+12.05%
2015  
+3.62%
 

Dividends

2023-12-04 2.92 USD
2022-12-02 0.66 USD
2021-12-03 3.01 USD
2020-12-04 0.99 USD