Eurizon Investment SICAV Multiasset Risk Overlay I

ISIN: LU1396959170

Categoria Morningstar: EUR Flexible Allocation - Global

Società: Eurizon

The objective of this Sub-Fund is to grow over time the capital invested. It offers investors the opportunity to participate flexibly in the development of the equity and international bond markets. The Investment Manager of the Sub-Fund will endeavour to limit portfolio losses through “Risk Overlay” type techniques, as well as by the use of derivatives. The Sub-Fund is not managed in reference to a benchmark. No guarantee is given that this objective will actually be achieved.

Rendimento annuo 1 anno 3 anni 5 anni Inizio 2024 2023 2022 2021 2020
Rendimento annuo: Fondo 1 anno: 4,97 3 anni: -0,75 5 anni: 0,28 Inizio: 0,73 2024: -0,51 2023: 9,17 2022: -11,98 2021: 2,76 2020: 1,17
Rendimento annuo: Categoria 1 anno: 8,36 3 anni: 0,98 5 anni: 2,84 Inizio: - 2024: 3,33 2023: 8,26 2022: -12,16 2021: 9,69 2020: 2,21
Rendimento annuo: Percentile 1 anno: 71,00 3 anni: 74,00 5 anni: 84,00 Inizio:- 2024: 86,00 2023: 40,00 2022: 49,00 2021: 87,00 2020: 57,00
Rischio Volatilità Sharpe Ratio Correlazione Beta Alfa Tracking error Info Ratio
Rischio: 3 anni 1 Volatilità: 6,63 3 Sharpe Ratio: -0,13 5 Correlazione: 93,96 Beta: 0,72 Alfa: -2,56 Tracking error: 3,26 Info Ratio: -0,96
Fonte: Morningstar. Dati in euros. Categoria: EUR Flexible Allocation - Global. Data: 2024-04-23
Fonte: Morningstar. Dati in euros. Categoria: EUR Flexible Allocation - Global. Data: 2024-04-23