CoCo Alpha Bond Fund Class R EUR
WKN A117TZ | ISIN LI0248699295 | Fonds
Fonds
| ISIN | Name | Performance | Volatilität | Sharpe Ratio | ||
|---|---|---|---|---|---|---|
| 1 | LU2020654658 | BNP PARIBAS FLEXI I ABSOLUTE RETURN CONVERTIBLE I Capitalisation | +6,52 % | +1,03 % | 4,38 |
|
| 2 | LU2020654229 | BNP PARIBAS FLEXI I ABSOLUTE RETURN CONVERTIBLE Privilege Capitalisation | +6,29 % | +1,36 % | 3,12 |
|
| 3 | IE00BJQR5S01 | BNY Mellon Absolute Return Global Convertible Fund Sterling X (Acc.) (hedged) | +11,16 % | +3,06 % | 2,99 |
|
| 4 | IE00BJQR5M49 | BNY Mellon Absolute Return Global Convertible Fund Sterling F (Acc.) (hedged) | +9,84 % | +2,64 % | 2,96 |
|
| 5 | IE00BJQR5G88 | BNY Mellon Absolute Return Global Convertible Fund Sterling U (Acc.) (hedged) | +9,45 % | +2,63 % | 2,83 |
|
| 412 | DE000A3D6ZR6 | SQUAD 4 Convertibles - Seeder | -4,94 % | +8,31 % | -0,84 |
|
| 413 | DE000A3D6ZS4 | SQUAD 4 Convertibles - Insti (EUR) | -5,17 % | +8,31 % | -0,86 |
|
| 414 | DE000A3D6ZU0 | SQUAD 4 Convertibles - Retail (EUR) | -5,79 % | +8,33 % | -0,94 |
|
| 415 | LI0248699311 | CoCo Alpha Bond Fund Class R USD | -1,17 % | +2,74 % | -1,16 |
|
| 416 | LI0248699295 | CoCo Alpha Bond Fund Class R EUR | -2,96 % | +2,72 % | -1,82 |
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