Trend

Last Previous Currency Date Chng
8.014 8.011 EUR 25/12/18 +0.04

Terms

Isin N.Av.
Contract Type N.D.
Currency EUR
Class N.Ap.
Risk Class N.Ap.
Assogestioni Category Obb. Euro Governativi M/L Termine
Declared Benchmark N.Av.
Start Date 02/01/02
Advisor Name N.Av.
Fund Asset Under Management 2,4894  at 24/12/31

Performance

Cumulatives
1 month -0.05
Ytd +1.86
1 year +1.64
3 years +8.11
5 years -2.35
Yearly
11/30/2024 +2.90
11/30/2023 +3.98
11/30/2022 -8.93
11/30/2021 -1.61
11/30/2020 +1.18
Rating
N.Av.
Score
N.Av.

Company

Unicredit Vita Assicurazioni S
Corso Italia 23 20122 - Milano
Tel. +39-0272162652

Costs

Entrance (ACP) Min: N.Av. - Max: N.Av.
Management 0.3
Reimbursement N.Av.
Administrative N.Av.
Switch N.Av.
Tunnel N.D.

Subscription

One Solution
Initial N.Av. EUR
Integrative N.Av. EUR
Accumulation Plan
Duration N.Av.
Minimum Payment Unit N.Av.
Initial Payment N.Av.

Costs

Entrance (ACP) Min: N.Av. - Max: N.Av.
Management 0.3
Reimbursement N.Av.
Administrative N.Av.
Switch N.Av.
Tunnel N.D.

Performance

Cumulatives
1 day +0.04
1 week +0.11
1 month -0.05
3 months +0.34
6 months +0.64
From the beginning of the year +1.86
1 year +1.64
2 years +5.17
3 years +8.11
4 years -1.38
5 years -2.35
Yearly
11/30/2024 +2.90
11/30/2023 +3.98
11/30/2022 -8.93
11/30/2021 -1.61
11/30/2020 +1.18


Rating
N.Av.
Score
N.Av.

Efficiency Indicators

Sharpe 1 year 0.0186
Benchmark 1 year N.Av.
Sharpe 3 years -0.0723
Benchmark 3 years N.Av.
Sharpe 5 years -0.6121
Benchmark 5 years N.Av.
Sortino 1 year 0.1347
Benchmark 1 year N.Av.
Sortino 3 years -0.1107
Benchmark 3 years N.Av.
Sortino 5 years -0.7971
Benchmark 5 years N.Av.

Absolute

Standard Volatility
1 year +1.44
3 years +2.53
5 years +3.04
Negative Volatility
1 year +1.05
3 years +1.83
5 years +2.39

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 -0.0723
Sortino -0.1107
Bull Market +1.84
Bear Market -1.53
Benchmark N.Av.
Benchmark N.Av.
Benchmark N.Av.
Benchmark N.Av.
Three years data
Risk Class N.Ap.

General

  1 year  3 years  5 years 
  Pos. Chng % Pos. Chng % Pos. Chng %
Performance
1 year 
1,393
  
+1.68
3 years 
89
  
+7.55
5 years 
63
  
-1.95
Performance
1,393 +1.68 89 +7.55 63 -1.95
Total Volatility
1 year 
1,793
  
+1.44
3 years 
2,076
  
+2.53
5 years 
758
  
+3.04
Total Volatility
1,793 +1.44 2,076 +2.53 758 +3.04
Negative Volatility
1 year 
2,015
  
+1.05
3 years 
2,245
  
+1.83
5 years 
832
  
+2.39
Negative Volatility
2,015 +1.05 2,245 +1.83 832 +2.39
Sharpe Index
1 year 
408
  
+0.02
3 years 
98
  
-0.07
5 years 
290
  
-0.61
Sharpe Index
408 +0.02 98 -0.07 290 -0.61
Sortino Index
1 year 
157
  
+0.13
3 years 
123
  
-0.11
5 years 
595
  
-0.80
Sortino Index
157 +0.13 123 -0.11 290 -0.80

By Category

  1 year  3 years  5 years 
  Pos. Chng % Pos. Chng % Pos. Chng %
Performance
1 year 
1,393
  
+1.68
3 years 
89
  
+7.55
5 years 
63
  
-1.95
Performance
1,393 +1.68 89 +7.55 63 -1.95
Total Volatility
1 year 
1,793
  
+1.44
3 years 
2,076
  
+2.53
5 years 
758
  
+3.04
Total Volatility
1,793 +1.44 2,076 +2.53 758 +3.04
Negative Volatility
1 year 
2,015
  
+1.05
3 years 
2,245
  
+1.83
5 years 
832
  
+2.39
Negative Volatility
2,015 +1.05 2,245 +1.83 832 +2.39
Sharpe Index
1 year 
408
  
+0.02
3 years 
98
  
-0.07
5 years 
290
  
-0.61
Sharpe Index
408 +0.02 98 -0.07 290 -0.61
Sortino Index
1 year 
157
  
+0.13
3 years 
123
  
-0.11
5 years 
595
  
-0.80
Sortino Index
157 +0.13 123 -0.11 595 -0.80

Insurance Funds - Creditras Cgv Futuroro Moneta: Performance, Terms, Fees, Risk, Rating


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