Lyxor Brazil (Ibovespa) UCITS ETF Acc/  FR0010408799  /

Fonds
NAV3/13/2019 Chg.+0.0702 Type of yield Investment Focus Investment company
20.1190EUR +0.35% reinvestment Equity Lyxor Exchange Traded Funds 

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2007 - 5.65 -1.84 7.08 12.83 4.26 1.35 -6.78 18.82 9.46 -8.53 5.30 +54.61%
2008 -7.51 12.64 -14.73 9.05 16.76 -9.44 -2.93 -4.53 -29.98 -18.02 -9.02 -8.85 -54.81%
2009 16.71 -3.93 4.01 24.11 15.89 -1.98 9.89 2.19 12.21 1.08 6.91 7.26 +140.16%
2010 -8.49 7.07 8.06 0.60 -3.62 -2.67 6.71 -0.91 2.65 -0.25 0.80 3.59 +12.95%
2011 -7.58 1.29 0.88 -4.74 0.02 -3.03 -4.61 -6.29 -12.91 14.51 -9.14 4.71 -25.99%
2012 16.86 4.01 -7.45 -7.26 -11.76 -2.64 4.55 0.40 3.32 -6.06 -3.47 7.54 -5.21%
2013 -1.94 0.30 -2.11 -2.64 -8.83 -14.76 -3.85 0.20 8.79 3.26 -8.05 -4.47 -30.75%
2014 -7.75 -0.01 10.97 2.69 0.40 5.15 4.43 12.86 -15.99 1.54 -4.30 -9.45 -3.30%
2015 0.26 3.79 -7.44 12.20 -10.00 1.65 -12.08 -15.44 -11.36 6.48 0.82 -9.08 -36.41%
2016 -6.48 6.45 25.16 9.99 -11.46 19.69 9.44 1.31 -0.65 16.94 -7.86 2.49 +76.66%
2017 7.43 6.90 -6.06 -1.97 -8.50 -3.30 7.40 5.75 4.84 -1.94 -5.38 4.81 +8.37%
2018 11.03 0.01 -3.13 -2.25 -13.70 -8.34 11.17 -11.34 6.87 21.36 -1.87 -2.95 +1.25%
2019 17.24 -3.84 2.08 - - - - - - - - - -

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 25.57% 30.76% 30.17% 29.51% 32.39%
Sharpe ratio 4.07 3.97 0.19 0.77 0.30
Best month +17.24% +21.36% +21.36% +25.16% +25.16%
Worst month -3.84% -3.84% -13.70% -13.70% -15.99%
Maximum loss -7.84% -10.72% -28.97% -30.88% -60.87%
Outperformance - - - - -
 
All quotes in EUR

Performance

YTD  
+15.07%
6 Months  
+48.45%
1 Year  
+5.44%
3 Years  
+82.78%
5 Years  
+56.76%
Since start  
+26.30%
Year
2018  
+1.25%
2017  
+8.37%
2016  
+76.66%
2015
  -36.41%
2014
  -3.30%
2013
  -30.75%
2012
  -5.21%
2011
  -25.99%
2010  
+12.95%