Created with Highcharts 7.0.1Risiko VolatilitätPerformance0.5%0.75%1%1.25%1.5%1.75%2%2.25%2.5%2.75%3%3.25%3.5%3.75%4%4.25%4.5%4.…4.75%-2%0%2%4%6%8%

Fonds

ISIN Name Performance Volatilität Sharpe Ratio
1 DE000A1H72N5 LF - ASSETS Defensive Opportunities - Anteilklasse I +4,36 % +0,75 % 3,13
2 AT0000A330V9 Raiffeisen-Mehrwert-ESG 2028 II (RZ) (A) +6,45 % +1,62 % 2,76
3 DE000A1JGBT2 LF - ASSETS Defensive Opportunities - Anteilklasse R +4,08 % +0,77 % 2,68
4 AT0000A330R7 Raiffeisen-Mehrwert-ESG 2028 II (R) (A) +6,26 % +1,62 % 2,63
5 AT0000A330U1 Raiffeisen-Mehrwert-ESG 2028 II (RD) (A) +6,25 % +1,62 % 2,63
135 LU1883329945 AMUNDI FUNDS GLOBAL MULTI-ASSET CONSERVATIVE - G EUR QTD +4,79 % +4,65 % 0,60
310 LU1044365010 UBAM - Multifunds Allocation Income AHD CHF -0,28 % +4,57 % -0,50
311 LU1514035739 LO Funds - All Roads Conservative, (EUR) PD +0,93 % +2,13 % -0,51
312 LU1316411252 FISCH CONVEX MULTI CREDIT FUND Aktienklasse BC2 (CHF) +0,49 % +2,31 % -0,66
313 AT0000973037 PRIME VALUES Income A (CHF) -1,22 % +4,39 % -0,74
314 LU1316411096 FISCH CONVEX MULTI CREDIT FUND Aktienklasse AC2 (CHF) +0,06 % +2,30 % -0,85