Trend

Last Previous Currency Date Chng
256.253 256.229 USD 25/12/18 +0.01

Terms

Isin LU0012186622
Contract Type Fondo Comune Inv.
Currency USD
Class CLAS
Risk Class 1
Assogestioni Category Fondi Di Mercato Monetario Dollaro
Declared Benchmark 100% LIBID USD 3M
Start Date 90/07/26
Advisor Name N.Av.
Fund Asset Under Management 624,2357  at 25/10/31

Performance

Cumulatives
1 month -0.80
Ytd -7.85
1 year -6.76
3 years +4.35
5 years +22.45
Yearly
11/30/2024 +11.85
11/30/2023 +1.51
11/30/2022 +8.06
11/30/2021 +8.40
11/30/2020 -7.95
Rating
Score
91.5684

Company

Bnp Paribas Am Lux
10 rue Edward Steichen L-2540 - Luxembourg
Tel. N.Av.

Costs

Entrance (ACP) Min: 0,0000 - Max: 3,0000
Management 0.4
Reimbursement 0%
Administrative 0,15%
Switch 1,5%
Tunnel 0

Subscription

One Solution
Initial 0,0000 USD
Integrative 250,0000 USD
Accumulation Plan
Duration N.Av.
Minimum Payment Unit N.Av.
Initial Payment 0,0000

Costs

Entrance (ACP) Min: 0,0000 - Max: 3,0000
Management 0.4
Reimbursement 0%
Administrative 0,15%
Switch 1,5%
Tunnel 0

Performance

Cumulatives
1 day +0.03
1 week +0.03
1 month -0.80
3 months +1.81
6 months +0.18
From the beginning of the year -7.85
1 year -6.76
2 years +2.00
3 years +4.35
4 years +13.10
5 years +22.45
Yearly
11/30/2024 +11.85
11/30/2023 +1.51
11/30/2022 +8.06
11/30/2021 +8.40
11/30/2020 -7.95


Rating
Rating Rating Rating
Score
91.5684

Efficiency Indicators

Sharpe 1 year -0.4544
Benchmark 1 year N.Av.
Sharpe 3 years -0.4181
Benchmark 3 years N.Av.
Sharpe 5 years 0.2617
Benchmark 5 years N.Av.
Sortino 1 year -0.5326
Benchmark 1 year N.Av.
Sortino 3 years -0.5936
Benchmark 3 years N.Av.
Sortino 5 years 0.388
Benchmark 5 years N.Av.

Absolute

Standard Volatility
1 year +8.80
3 years +7.52
5 years +7.48
Negative Volatility
1 year +7.29
3 years +5.33
5 years +4.94

Benchmark

Standard Volatility
1 year N.Av.
3 years N.Av.
5 years N.Av.
Negative Volatility
1 year N.Av.
3 years N.Av.
5 years N.Av.
Updated Monthly - 25/11/28

Relative

Sharpe -0.4181
Sortino -0.5936
Bull Market +3.25
Bear Market -4.59
Benchmark N.Av.
Benchmark N.Av.
Benchmark N.Av.
Benchmark N.Av.
Three years data
Risk Class 1

General

  1 year 17,746 3 years 15,635 5 years 13,875
  Pos. Chng % Pos. Chng % Pos. Chng %
Performance
1 year 17,746
20,083
  
-4.91
3 years 15,635
17,167
  
+3.29
5 years 13,875
7,457
  
+21.00
Performance
20,083 -4.91 17,167 +3.29 7,457 +21.00
Total Volatility
1 year 17,746
10,054
  
+8.80
3 years 15,635
8,309
  
+7.52
5 years 13,875
6,270
  
+7.48
Total Volatility
10,054 +8.80 8,309 +7.52 6,270 +7.48
Negative Volatility
1 year 17,746
13,651
  
+7.29
3 years 15,635
9,225
  
+5.33
5 years 13,875
5,279
  
+4.94
Negative Volatility
13,651 +7.29 9,225 +5.33 5,279 +4.94
Sharpe Index
1 year 17,746
20,575
  
-0.45
3 years 15,635
18,347
  
-0.42
5 years 13,875
9,357
  
+0.26
Sharpe Index
20,575 -0.45 18,347 -0.42 9,357 +0.26
Sortino Index
1 year 17,746
20,568
  
-0.53
3 years 15,635
18,460
  
-0.59
5 years 13,875
9,285
  
+0.39
Sortino Index
20,568 -0.53 18,460 -0.59 9,357 +0.39

By Category

  1 year 17,746 3 years 15,635 5 years 13,875
  Pos. Chng % Pos. Chng % Pos. Chng %
Performance
1 year 17,746
22
  
-4.91
3 years 15,635
17
  
+3.29
5 years 13,875
6
  
+21.00
Performance
22 -4.91 17 +3.29 6 +21.00
Total Volatility
1 year 17,746
23
  
+8.80
3 years 15,635
30
  
+7.52
5 years 13,875
32
  
+7.48
Total Volatility
23 +8.80 30 +7.52 32 +7.48
Negative Volatility
1 year 17,746
17
  
+7.29
3 years 15,635
21
  
+5.33
5 years 13,875
16
  
+4.94
Negative Volatility
17 +7.29 21 +5.33 16 +4.94
Sharpe Index
1 year 17,746
22
  
-0.45
3 years 15,635
14
  
-0.42
5 years 13,875
7
  
+0.26
Sharpe Index
22 -0.45 14 -0.42 7 +0.26
Sortino Index
1 year 17,746
23
  
-0.53
3 years 15,635
16
  
-0.59
5 years 13,875
7
  
+0.39
Sortino Index
23 -0.53 16 -0.59 7 +0.39

Foreign Funds - Bnp Paribas Usd Money Market Clas $: Performance, Terms, Fees, Risk, Rating


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