Average Gain 1 Year | 1.16 |
Average Loss 1 Year | -1.10 |
High 1 Year | 121.21 |
Low 1 Year | 114.57 |
Maximum Loss 1 Year | -4.79 |
Performance since Inception | -3.82 |
Sharpe Ratio 1 Year | -0.42 |
Sortino Ratio 1 Year | -0.58 |
Trailing Performance 1 Month | -1.97 |
Trailing Performance 1 Week | -1.17 |
Trailing Performance 3 Months | -4.31 |
Trailing Performance 6 Months | -5.53 |
Trailing Return 1 Month | -0.35 |
Trailing Return 1 Year | -1.95 |
Trailing Return 2 Months | -2.73 |
Trailing Return 3 Months | -3.88 |
Trailing Return 6 Months | -3.19 |
Trailing Return 9 Months | -4.37 |
Trailing Return Since Inception | 8.11 |
Trailing Return YTD - Year to Date | -4.37 |
Volatility 1 Year | 4.62 |
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