BNP PARIBAS FLEXI I COMMODITIES Privilege Distribution
WKN A2PUZ5 | ISIN LU1931957416 | Fonds
Fonds
ISIN | Name | Performance | Volatilität | Sharpe Ratio | ||
---|---|---|---|---|---|---|
1 | LI1146978047 | SMC AIF SICAV - Incrementum Digital & Physical Gold Fund -EUR-D- | +35,34 % | +21,62 % | 1,55 |
|
2 | DE000A2QSGD3 | Optinova Metals and Materials R | +9,50 % | +12,43 % | 0,61 |
|
3 | LU2416646276 | Schroder Special Situations Fund Sustainable Diversified Alternative Assets IS USD Hedged Dis | +5,63 % | +11,62 % | 0,32 |
|
4 | LU2416645971 | Schroder Special Situations Fund Sustainable Diversified Alternative Assets IS Distribution GBP | +5,41 % | +11,64 % | 0,30 |
|
5 | LU1931957416 | BNP PARIBAS FLEXI I COMMODITIES Privilege Distribution | +5,40 % | +14,63 % | 0,24 |
|
40 | DE000A2H9A50 | Tresides Commodity One B (a) | -3,19 % | +14,82 % | -0,35 |
|
41 | LU0984247337 | Multicooperation SICAV - GAM Galena Commodities CHF A | -2,83 % | +11,59 % | -0,41 |
|
42 | DE000A2DU032 | LBBW RS Flex I EUR | -4,69 % | +8,21 % | -0,81 |
|
43 | DE000A0Q95Q2 | First Private Systematic Commodity B | -5,10 % | +8,38 % | -0,84 |
|
44 | DE000A14XPW0 | LBBW RS Flex R EUR | -5,35 % | +8,21 % | -0,89 |
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