Mutual Fund

Nestor Gold Fonds B

ISIN: LU0147784465
/ Issuer: Nestor IM S.A.
LAST (12/Nov/19 - 21:47): 117.550 €
-0.47 €
-0.40 %

Static data

  • Asset category Equity
  • Fund assets 16.30 Mio.
  • Distribution type reinvestment
  • Currency EUR
  • Total Expense Ratio -%

Key figures

  YTD 6 Mon 1 year 3 years 5 years
Performance 37.01 40.10 41.15 4.47 63.38
Volatility 29.27 32.09 29.30 28.66 36.40
Sharpe Ratio 1.52 3.00 1.42 0.07 0.29
Best month 23.90 23.90 23.90 23.90 42.56
Worst month -8.76 -6.51 -8.76 -13.70 -22.51
Max. loss -19.22 -15.31 -19.22 -44.77 -50.78

Times & Sales

Currently no result.