KEPLER Multi-Flex Portfolio (A)

WKN A14UW1 | ISIN AT000MULTIA2 |  Fonds
Factsheet
Created with Highcharts 7.0.1Risiko VolatilitätPerformance0.5%1%1.5%2%2.5%3%3.5%4%4.5%5%5.5%-4%-2%0%2%4%6%8%

Fonds

ISIN Name Performance Volatilität Sharpe Ratio
1 DE000A1H72N5 LF - ASSETS Defensive Opportunities - Anteilklasse I +4,49 % +0,76 % 3,25
2 DE000A1JGBT2 LF - ASSETS Defensive Opportunities - Anteilklasse R +4,34 % +0,77 % 3,01
3 LU0326856928 Rentenstrategie MultiManager +5,81 % +1,49 % 2,55
4 AT0000A330V9 Raiffeisen-Mehrwert-ESG 2028 II (RZ) (A) +4,97 % +1,43 % 2,06
5 AT0000A330R7 Raiffeisen-Mehrwert-ESG 2028 II (R) (A) +4,79 % +1,43 % 1,92
78 AT000MULTIA2 KEPLER Multi-Flex Portfolio (A) +4,75 % +4,14 % 0,66
318 LU2842879244 M&G (Lux) Optimal Income Fund JPY A-H M F1 Inc -2,07 % +5,38 % -0,76
319 LU2842878949 M&G (Lux) Optimal Income Fund JPY A-H M Inc -2,15 % +5,38 % -0,78
320 AT0000973037 Arete PRIME VALUES Income A (CHF) -1,61 % +4,16 % -0,88
321 LU1316411252 FISCH CONVEX MULTI CREDIT FUND Aktienklasse BC2 (CHF) -0,24 % +2,20 % -1,03
322 LU1316411096 FISCH CONVEX MULTI CREDIT FUND Aktienklasse AC2 (CHF) -0,67 % +2,20 % -1,23