| LF - DYNAMIC YIELD OPPORTUNITIES - ANTEILKLASSE S |
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| ISIN: |
DE000A40HGF2 |
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Währung: |
EUR |
| Fondsname: |
LF - Dynamic Yield Opportunities - Anteilklasse S |
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Ertragstyp: |
Ausschüttend |
| Ursprungsland: |
Deutschland |
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Fondstyp: |
Rentenfonds |
| Fondsmanager: |
- |
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Region: |
weltweit |
| Fondsvolumen: |
22,39 Mio. EUR | |
Land: |
- |
| Auflagedatum: |
15.10.2024 |
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Unterkategorie: |
- |
| Geschäftsjahr: |
- |
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Vertriebszulassung: |
Österreich, Deutschland |
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|
3,00% | 0,40% |
100.000,00 EUR |
- |
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Performance | 0,51% | 3,62% | - | - | Volatilität | 1,28% | 3,35% | - | - | Sharpe Ratio | 2,82 | 0,47 | - | - | Bester Monat | 0,71% | 1,79% | - | - | Schlechtester Monat | 0,06% | -1,47% | - | - |
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CMA CGM 25/32 REGS | | 2,81% | AMS-OSRAM 23/29 REGS | | 2,59% | GOLDSTORY 24/30 REGS | | 2,55% | UBM DEVELOP. 25/UND. | | 2,55% | AVISDGET FIN 23/30 REGS | | 2,54% | CT INVEST. REGS 24/30 | | 2,52% | CHEPLAPHARM REGS 23/30 | | 2,50% | BUBBLES BID. 24/31 REGS | | 2,49% | LENZING 25/UND. FLR | | 2,48% | FRON.L.FINCO 25/32 REGS | | 2,47% | Sonstiges | | 74,50 % |
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| DAX | 24.721,46 | 230,40 | 0,94% |
| TecDax | 3.619,60 | -8,45 | -0,23% |
| MDAX | 31.662,83 | 228,32 | 0,73% |
| Dow Jones (EOD) | 48.908,72 | -592,58 | -1,20% |
| Nasdaq 100 | 25.032,48 | 483,79 | 1,97% |
| S & P 500 (EOD) | 6.798,40 | -84,32 | -1,23% |
| SMI | 13.503,06 | 37,02 | 0,27% |
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| EUR/US$ | 1,1821 | 0,00 | 0,37% |
| EUR/Yen | 185,6748 | 0,73 | 0,39% |
| EUR/CHF | 0,9165 | 0,00 | -0,00% |
| EUR/Brit. Pfund | 0,8679 | -0,00 | -0,29% |
| Yen/US$ | 0,0064 | 0,00 | -0,17% |
| CHF/US$ | 1,2899 | 0,00 | 0,32% |
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| baha Brent Indication | 69,22 | 0,87 | 1,28% |
| Gold | 4.948,14 | 102,24 | 2,11% |
| Silber | 74,53 | -3,86 | -4,93% |
| Platin | 2.047,00 | -9,61 | -0,47% |
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