WisdomTree Silver 2x Daily Leveraged/  DE000A0V9Y57  /

Fonds
NAV12/1/2020 Chg.+0.7328 Type of yield Investment Focus Investment company
6.5480EUR +12.60% reinvestment Special Type Worldwide Wisdom Tree M. 

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2008 - - - -8.69 2.37 4.30 3.37 -39.56 -20.33 -35.54 6.32 7.89 -
2009 32.43 7.63 -8.31 -11.66 48.74 -25.25 2.70 12.08 20.79 -6.38 26.13 -14.45 +80.30%
2010 -5.73 4.58 12.35 14.28 3.98 1.93 -13.75 18.39 17.03 22.88 36.43 16.15 +212.15%
2011 -20.00 42.02 20.75 55.42 -38.66 -19.29 31.91 5.40 -48.44 23.48 -7.98 -26.17 -36.50%
2012 39.17 4.37 -13.03 -9.70 -15.00 -5.32 4.69 22.31 17.72 -13.74 4.22 -19.36 +0.29%
2013 3.65 -15.39 0.75 -31.26 -14.50 -25.38 -1.65 42.15 -18.59 -0.08 -17.01 -6.69 -65.87%
2014 -3.31 19.26 -13.80 -7.10 -3.98 25.49 -4.31 -8.27 -20.59 -10.75 -7.85 1.70 -35.12%
2015 28.72 -8.07 4.19 -10.57 8.54 -15.19 -10.25 -5.09 -1.27 15.04 -15.19 -7.52 -22.98%
2016 6.23 8.09 1.56 30.53 -17.59 34.25 17.96 -16.60 3.82 -12.65 -13.56 -6.40 +21.56%
2017 17.03 11.63 -3.42 -13.18 -1.92 -11.18 -1.87 7.13 -9.80 1.41 -6.40 7.27 -7.86%
2018 -2.86 -8.79 -3.34 2.76 3.92 -4.41 -8.15 -13.45 2.11 -3.65 -2.87 18.06 -21.59%
2019 6.45 -5.96 -5.52 -2.79 -5.15 7.18 16.64 23.74 -14.32 10.12 -11.14 7.46 +21.55%
2020 1.92 -17.45 -29.64 7.98 48.45 -2.34 56.74 29.71 -32.87 0.68 -13.60 12.60 -

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 90.59% 92.78% 87.39% 58.13% 52.52%
Sharpe ratio 0.30 0.64 0.42 0.15 0.09
Best month +56.74% +56.74% +56.74% +56.74% +56.74%
Worst month -32.87% -32.87% -32.87% -32.87% -32.87%
Maximum loss -63.09% -47.71% -63.09% -66.53% -78.08%
Outperformance - - - - -
 
All quotes in EUR

Performance

YTD  
+23.89%
6 Months  
+26.20%
1 Year  
+35.90%
3 Years  
+27.38%
5 Years  
+22.87%
Since start
  -79.14%
Year
2019  
+21.55%
2018
  -21.59%
2017
  -7.86%
2016  
+21.56%
2015
  -22.98%
2014
  -35.12%
2013
  -65.87%
2012  
+0.29%
2011
  -36.50%