The rate of return achieved by the Fund in previous periods and the history of the Fund do not constitute a promise or indication with regard to its rate of return or the achievement of its objectives in future periods.
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Performance
1 day
%
YTD
%
1 month
%
1 year
%
3y (p.a.)
%
5y (p.a.)
%
From the start of fund (p.a.)
%
NAV
Prices and risk indicators
Lower risk
Higher risk
Potentially lower rewards
Potentially higher rewards
1
2
3
4
5
6
7
NAV of unit
EUR
Redemption price*
EUR
Issue price*
EUR
Risk level
-
Sharpe ratio
-
Standard deviation
-
* Redemption and issue prices are indicative and do not apply to transactions entered today. Data as of