ELAN FRANCE BEAR FR0000400434

ReturnsAnnu. ReturnsVolatilities
1 week-0.5--
4 weeks-8.6--
52 weeks-4-4+19.8
1 mon.-8.8--
3 mon.-6.8--
6 mon.+0.4--
1 yr-4.4-4.4+19.8
3 yrs-39.6-15.5+25.4
5 yrs-49.5-12.8+21.5
10 yrs-76.5-13.5+19.3
Max-80.1-14+19.2
YearJanFebMarAprMaiJunJulAugSepOctNovDec
2022+1.7+1.6+4.4-1.5+1.1-1+8.2-8.7-1.6----
2021-26.9+2.3-5.6-6.4-3.7-4.1-1.4-2-1.3+1.9-4.8+1.1-6.4
2020-7.4+2.6+8.8+13.8-5-4.1-6.2+2.3-3.7+2.2+4-17.7-1
2019-25.6-5.6-4.9-2.5-4.8+5.3-6.7+0.1+0.2-3.8-1.3-3.2-1.6
2018+4.9-3.3+2.6+2.5-7+0.5+0.7-3.7+1.7-1.9+7.4+1.5+4.8
2017-13.2+2.2-2.4-5.5-3.4-2+2.5+0.3-0.1-4.9-3.4+2.2+0.8
2016-13.4+4.3+0.4-1.3-1.9-3.7+4.2-4.9-0.2-0.7-1.6-1.9-6.2
2015-15.5-7.8-7.1-2.1-1-0.7+3.4-6.3+8.1+3.4-9.5-1.5+6.1
2014-5.7+2.9-5.6-0.2-2.7-2.3+1.6+3.8-3.3-1.2+3.6-3.9+1.9
2013-20.9-2.6-0.3-0.6-4.2-4.5+4.8-6.7+1.2-5.4-3.8-0.2-0.5
2012-20.8-4.5-4.5+0.1+5.6+3.9-6.8-3.7-4+0.7-2.5-4.1-2.6
2011-------------1.2
Dollar cost averaging (DCA)
Total investmentProfit/Loss(Profit/Loss)/Inv
1 yr1200-46.8-3.9
3 yr3600-768.4-21.3
5 yr6000-1821.7-30.4
Dollar cost averaging (DCA) - 100€ each month
Net inflows / Market effect
Asset Under Management on 11/08/202207/2022T2/2022S1/20222021YTD
Fund49 M€+0.3 / -4.9+1.1 / +4.3-21.8 / +9+49.4 / -12.8-22.7 / +3.4

Details

Legal Form-
Is UCITS ?-
Is Feeder ?-
Has Formula ?-
AMF Classification-
Currency-
Investors-
Initial Min. subscription-
Subsequent Min. subscription-
Benchmark-
Recommended Investment Period-
NAV Frequency-
Distribution policy-
French PEA ?-
French PEA-PME ?-
Life Insurance-
RSI ?-
SRRI
1234567

Fees

Max Entry Fees-
Max Exit Fees-
Ongoing Charges-

Actors

Management CompanyROTHSCHILD & CO ASSET MANAGEMENT EUROPE
Custodian/Depository-
Auditor-
Administration/Accounting-

Other Shares/Classes