Lyxor FTSE MIB Daily(-2x)Inv.(Xb.)UE A./  FR0010446666  /

Fonds
NAV11/29/2022 Chg.-0.0018 Type of yield Investment Focus Investment company
0.9435EUR -0.19% reinvestment Special Type ETF Special Amundi Asset Mgmt. 

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2017 - -4.06 -15.50 -3.47 -4.97 0.45 -9.17 -2.31 -9.76 -1.42 2.99 4.14 -32.50%
2018 -14.66 6.81 0.85 -13.85 15.49 -0.25 -6.48 18.96 -5.76 16.59 -2.66 8.08 +17.32%
2019 -15.28 -9.52 -6.27 -6.70 16.05 -14.12 -2.98 -0.86 -8.04 -5.89 -5.61 -2.76 -48.95%
2020 0.45 9.29 37.85 -10.41 -9.17 -14.83 0.80 -6.52 4.90 10.69 -35.55 -2.24 -27.70%
2021 4.49 -11.57 -14.75 3.41 -10.38 -0.47 -3.95 -5.39 1.10 -10.30 5.94 -11.88 -44.10%
2022 1.87 9.04 -1.81 3.34 -6.29 28.22 -12.33 7.17 6.91 -17.79 -15.82 - -

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 50.38% 46.55% 49.21% 51.95% 45.16%
Sharpe ratio -0.17 -0.40 -0.36 -0.58 -0.60
Best month +28.22% +28.22% +28.22% +37.85% +37.85%
Worst month -17.79% -17.79% -17.79% -35.55% -35.55%
Maximum loss -35.90% -35.90% -35.90% -82.38% -82.38%
Outperformance -6.92% - -16.96% -21.33% -
 
All quotes in EUR

Performance

YTD
  -5.86%
6 Months
  -8.70%
1 Year
  -15.59%
3 Years
  -63.00%
5 Years
  -76.36%
Since start
  -84.62%
Year
2021
  -44.10%
2020
  -27.70%
2019
  -48.95%
2018  
+17.32%
2017
  -32.50%