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Eurizon Next 2.0 Azioni Europa G Cap Eur
122.59
-0.03%
Currency: EUR
Date: 25/12/17
Trend
| Last | Previous | Currency | Date | Chng |
|---|---|---|---|---|
| 122.59 | 122.63 | EUR | 25/12/17 | -0.03 |
Terms
| Isin | LU2654118517 |
| Contract Type | N.D. |
| Currency | EUR |
| Class | G |
| Risk Class | 4 |
| Assogestioni Category | Azionari Europa |
| Declared Benchmark | 95% MSCI Europe Net TR (EUR); 5% Bloomberg EURO TREASURY BILLS |
| Start Date | 23/12/06 |
| Advisor Name | N.Av. |
| Fund Asset Under Management | N.Av. |
Performance
| Cumulatives | |
|---|---|
| 1 month | +1.05 |
| Ytd | +13.75 |
| 1 year | +11.93 |
| 3 years | N.Av. |
| 5 years | N.Av. |
| Yearly | |
|---|---|
| 11/30/2024 | +6.43 |
| 11/30/2023 | N.Av. |
| 11/30/2022 | N.Av. |
| 11/30/2021 | N.Av. |
| 11/30/2020 | N.Av. |
| Rating |
|---|
| N.Av. |
| Score |
|---|
| N.Av. |
Company
Eurizon Capital Sgr Lux Branch
28, boulevard kockelscheuer L-1821 - Luxembourg
Tel. N.Av.
28, boulevard kockelscheuer L-1821 - Luxembourg
Tel. N.Av.
Costs
| Entrance (ACP) | Min: 0,0000 - Max: 0,0000 |
| Management | 1.7 |
| Reimbursement | 2% |
| Administrative | N.Av. |
| Switch | N.Av. |
| Tunnel | N.D. |
Subscription
| One Solution | |
|---|---|
| Initial | 500,0000 EUR |
| Integrative | 500,0000 EUR |
| Accumulation Plan | |
|---|---|
| Duration | N.Av. |
| Minimum Payment Unit | N.Av. |
| Initial Payment | 500,0000 |
Costs
| Entrance (ACP) | Min: 0,0000 - Max: 0,0000 |
| Management | 1.7 |
| Reimbursement | 2% |
| Administrative | N.Av. |
| Switch | N.Av. |
| Tunnel | N.D. |
Performance
| Cumulatives | |
|---|---|
| 1 day | -0.03 |
| 1 week | -0.11 |
| 1 month | +1.05 |
| 3 months | +4.57 |
| 6 months | +4.85 |
| From the beginning of the year | +13.75 |
| 1 year | +11.93 |
| 2 years | +21.33 |
| 3 years | N.Av. |
| 4 years | N.Av. |
| 5 years | N.Av. |
| Yearly | |
|---|---|
| 11/30/2024 | +6.43 |
| 11/30/2023 | N.Av. |
| 11/30/2022 | N.Av. |
| 11/30/2021 | N.Av. |
| 11/30/2020 | N.Av. |
| Rating |
|---|
| N.Av. |
| Score |
|---|
| N.Av. |
Efficiency Indicators
| Sharpe 1 year | 1.0663 |
| Benchmark 1 year | N.Av. |
| Sharpe 3 years | N.Av. |
| Benchmark 3 years | N.Av. |
| Sharpe 5 years | N.Av. |
| Benchmark 5 years | N.Av. |
| Sortino 1 year | 2.1467 |
| Benchmark 1 year | N.Av. |
| Sortino 3 years | N.Av. |
| Benchmark 3 years | N.Av. |
| Sortino 5 years | N.Av. |
| Benchmark 5 years | N.Av. |
Absolute
| Standard Volatility | |
|---|---|
| 1 year | +9.56 |
| 3 years | N.Av. |
| 5 years | N.Av. |
| Negative Volatility | |
|---|---|
| 1 year | +4.80 |
| 3 years | N.Av. |
| 5 years | N.Av. |
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. |
Relative
| Sharpe | N.Av. |
| Sortino | N.Av. |
| Bull Market | N.Av. |
| Bear Market | N.Av. |
| Benchmark | N.Av. |
| Benchmark | N.Av. |
| Benchmark | N.Av. |
| Benchmark | N.Av. |
| Risk Class | 4 |
General
| 1 year 17,746 | 3 years 15,635 | 5 years 13,875 | ||||
|---|---|---|---|---|---|---|
| Pos. | Chng % | Pos. | Chng % | Pos. | Chng % | |
|
Performance
1 year 17,746
3,359
+13.12
3 years 15,635
-1
N.Av.
5 years 13,875
-1
N.Av.
|
3,359 | +13.12 | -1 | N.Av. | -1 | N.Av. |
|
Total Volatility
1 year 17,746
11,671
+9.56
3 years 15,635
-1
N.Av.
5 years 13,875
-1
N.Av.
|
11,671 | +9.56 | -1 | N.Av. | -1 | N.Av. |
|
Negative Volatility
1 year 17,746
9,288
+4.80
3 years 15,635
-1
N.Av.
5 years 13,875
-1
N.Av.
|
9,288 | +4.80 | -1 | N.Av. | -1 | N.Av. |
|
Sharpe Index
1 year 17,746
5,917
+1.07
3 years 15,635
-1
N.Av.
5 years 13,875
-1
N.Av.
|
5,917 | +1.07 | -1 | N.Av. | -1 | N.Av. |
|
Sortino Index
1 year 17,746
4,725
+2.15
3 years 15,635
-1
N.Av.
5 years 13,875
-1
N.Av.
|
4,725 | +2.15 | -1 | N.Av. | -1 | N.Av. |
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
244
+13.12
3 years 15,635
-1
N.Av.
5 years 13,875
-1
N.Av.
|
244 | +13.12 | -1 | N.Av. | -1 | N.Av. |
|
Total Volatility
1 year 17,746
177
+9.56
3 years 15,635
-1
N.Av.
5 years 13,875
-1
N.Av.
|
177 | +9.56 | -1 | N.Av. | -1 | N.Av. |
|
Negative Volatility
1 year 17,746
250
+4.80
3 years 15,635
-1
N.Av.
5 years 13,875
-1
N.Av.
|
250 | +4.80 | -1 | N.Av. | -1 | N.Av. |
|
Sharpe Index
1 year 17,746
243
+1.07
3 years 15,635
-1
N.Av.
5 years 13,875
-1
N.Av.
|
243 | +1.07 | -1 | N.Av. | -1 | N.Av. |
|
Sortino Index
1 year 17,746
246
+2.15
3 years 15,635
-1
N.Av.
5 years 13,875
-1
N.Av.
|
246 | +2.15 | -1 | N.Av. | -1 | N.Av. |
