Metzler Long/Short Volatility B EUR/  IE000C9BYIY7  /

Fonds
NAV2024-05-27 Chg.+0.0400 Type of yield Investment Focus Investment company
87.4300EUR +0.05% paying dividend Alternative Investments Universal-Inv. (IE) 
     
Chart for Metzler Long/Short Volatility B EUR
  Name   ISIN Performance Volatility Sharpe ratio
1. F.K2 Alt.Str.Fd.Y USD LU1340685079 +11.62% 2.91% 2.69
2. Aviva Investors - Multi-Strategy Target Return Fund - Zqh GBP LU2371661161 +14.63% 4.20% 2.58
3. Aviva Investors - Multi-Strategy Target Return Fund - Rah GBP LU1318336440 +13.67% 4.20% 2.35
4. LO Funds - Multiadvisers UCITS, Syst. NAV Hdg, X1, (GBP) MD LU1976908878 +8.86% 2.26% 2.31
5. LO Fds.-Multiadvisers U.Sys.N.S.MD GBP H LU1363407781 +8.63% 2.26% 2.21
6. GS Abs.Ret.Tracker Pf.R USD LU1162512997 +11.10% 3.94% 1.86
7. CM-AM ADVANCED AR FR0011278720 +11.51% 4.09% 1.88
8. Aviva Investors - Multi-Strategy Target Return Fund - Mq EUR LU1659676156 +11.39% 4.26% 1.78
9. Franklin Templeton Investment Funds Franklin K2 Alternative Strategies Fund Klasse A (Ydis) USD LU1093756598 +8.84% 2.91% 1.73
10. GS Abs.Ret.Tracker Pf.R GBP LU1103308398 +10.63% 3.96% 1.72
...
92. Metzler Long/Short Volatility B EUR IE000C9BYIY7 -7.48% 3.37% -3.35