Mutual Fund

Nestor Gold Fonds B

ISIN: LU0147784465
/ Issuer: NESTOR IM
LAST (26/May/20 - 09:32): 161.940 €
-1.05 €
-0.64 %

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Static data

  • Asset category Equity
  • Fund assets 23.14 Mio.
  • Distribution type reinvestment
  • Currency EUR
  • Total Expense Ratio -%

Key figures

  YTD 6 Mon 1 year 3 years 5 years
Performance 19.95 35.90 96.43 41.75 76.48
Volatility 70.07 63.90 50.62 35.43 39.16
Sharpe Ratio 0.84 1.34 1.92 0.36 0.31
Best month 49.89 49.89 49.89 49.89 49.89
Worst month -21.29 -21.29 -21.29 -21.29 -22.51
Max. loss -39.52 -39.52 -39.52 -39.52 -50.78

Times & Sales

Nr. time price Volume Accumulated volume
3 09:32:00 161.940 0 0
2 09:17:00 161.940 0 0
1 08:05:02 161.940 0 0