FERI Core Strategy Dynamic P
WKN A143VC | ISIN LU1321874361 | Fonds
Fonds
| ISIN | Name | Performance | Volatilität | Sharpe Ratio | ||
|---|---|---|---|---|---|---|
| 1 | LU0605206589 | Huber Portfolio SICAV - Huber Portfolio A EUR | +34,24 % | +10,35 % | 3,11 |
|
| 2 | LU2133245436 | Huber Portfolio SICAV - Huber Portfolio I EUR | +33,44 % | +10,35 % | 3,04 |
|
| 3 | LU2372459979 | Huber Portfolio SICAV - Huber Portfolio P EUR | +32,64 % | +10,36 % | 2,96 |
|
| 4 | DE000A3ENGF3 | FMM-Fonds - XP (EUR) | +21,59 % | +8,40 % | 2,34 |
|
| 5 | LU0230368945 | MB Fund - Max Global B | +25,09 % | +10,10 % | 2,28 |
|
| 28 | LU1321874361 | FERI Core Strategy Dynamic P | +15,00 % | +9,28 % | 1,40 |
|
| 196 | DE000A2H7PA8 | BRW Balanced Return Plus Direct | -3,08 % | +8,10 % | -0,63 |
|
| 197 | DE000A2H7PE0 | BRW Balanced Return Plus P | -3,72 % | +8,10 % | -0,71 |
|
| 198 | LU1479983337 | ICP Fonds - Alpha Aktien Aktiv - I | -7,06 % | +12,00 % | -0,76 |
|
| 199 | LU1479974344 | ICP Fonds - Alpha Aktien Aktiv - R | -8,61 % | +12,03 % | -0,88 |
|
| 200 | AT0000A0UJG6 | C-QUADRAT V.S.OP BHS I | -5,28 % | +4,83 % | -1,51 |
|