Fonds

ACATIS GANÉ Value Event Fonds A

ISIN: DE000A0X7541
/ Emittent: ACATIS Inv.KVGmbH
LETZTER KURS (24.05.19 / 21:47): 260,000 €
-1,45 €
-0,56 %

Stammdaten

  • Anlagekategorie Mischfonds
  • Fondsvermögen 3.087,57 Mio.
  • Ausschüttungsart thesaurierend
  • Währung EUR
  • Total Expense Ratio -%

Kennzahlen

  lfd. Jahr 6 Mon 1 Jahr 3 Jahre 5 Jahre
Performance 7,54 5,09 2,52 23,14 31,79
Volatilität 7,36 7,58 6,86 7,08 7,68
Sharpe Ratio 2,88 1,43 0,41 1,06 0,78
Bester Monat 2,93 2,93 2,93 3,18 3,18
Schlechtester Monat -3,22 -3,22 -3,22 -3,22 -3,22
Max. Verlust -3,37 -5,20 -7,98 -7,98 -10,41

Times & Sales

Nr. Uhrzeit Kurs Umsatz Akkumulierter Umsatz
52 21:47:00 260,000 0 3
51 21:32:00 260,000 0 3
50 21:17:00 260,000 0 3
49 21:02:00 260,000 0 3
48 20:47:00 260,000 0 3
47 20:32:00 260,000 0 3
46 20:17:00 260,000 0 3
45 19:47:00 260,000 0 3
44 19:32:00 260,000 0 3
43 19:17:00 260,000 0 3
42 19:02:00 260,010 0 3
41 18:47:00 260,000 0 3
40 18:32:00 260,000 0 3
39 18:17:00 260,000 0 3
38 18:02:00 260,000 0 3
37 17:47:00 260,000 0 3
36 17:32:00 260,000 0 3
35 17:17:00 260,000 0 3
34 17:02:00 260,000 0 3
33 16:47:00 260,000 0 3
32 16:32:00 260,000 0 3
31 16:17:00 260,000 0 3
30 16:02:00 260,000 0 3
29 15:47:00 260,000 0 3
28 15:32:00 260,000 0 3
27 15:17:00 260,000 0 3
26 15:02:00 260,000 0 3
25 14:47:00 260,000 0 3
24 14:32:00 260,000 0 3
23 14:17:00 260,000 0 3
22 14:02:00 260,000 0 3
21 13:47:00 260,000 0 3
20 13:32:00 260,000 0 3
19 13:17:00 260,000 0 3
18 13:02:00 260,000 0 3
17 12:47:00 260,000 0 3
16 12:32:00 260,000 0 3
15 12:17:00 260,000 0 3
14 12:02:00 260,000 0 3
13 11:47:00 260,000 0 3
12 11:32:00 260,000 0 3
11 11:17:00 260,000 0 3
10 11:02:00 260,000 0 3
9 10:50:22 262,090 3 3
8 10:47:00 259,940 0 0
7 10:32:00 259,940 0 0
6 10:17:00 259,940 0 0
5 10:02:00 259,940 0 0
4 09:47:00 259,940 0 0
3 09:32:00 259,940 0 0
2 09:17:00 259,940 0 0
1 08:06:01 259,940 0 0