Lyxor EURO STOXX 50 Daily (-1x) Inverse UCITS ETF - Acc FR0010424135

ReturnsAnnu. ReturnsVolatilities
1 week+5.1--
4 weeks+5.2--
52 weeks-18.2-18.2+12.9
1 mon.+4.1--
3 mon.+1.8--
6 mon.-2.2--
1 yr-19-19+12.9
3 yrs-40.8-16+24
5 yrs-49.7-12.9+20.3
10 yrs-75.3-13+19.6
Max-74.9-11.8+20.4
YearJanFebMarAprMaiJunJulAugSepOctNovDec
2021-17.3+1.5-4.6-7.6-2-3.5-0.1-1.1-2.7+3.2-5.2+4.1-
2020-8.9+2.4+8.5+13.7-6.3-5.5-7+1-3.5+1.8+7.3-16-2
2019-25.2-5.6-4.5-2-5.4+5-5.9-0.2+0.6-4.3-1.5-2.9-1.5
2018+9-3.2+4.4+1.9-5.9+1.9-0.1-4+3.6-0.5+5.9+0.5+5.1
2017-11.5+1.5-3-5.6-2.3-1.6+2.8-0.5+0.5-5.1-2.4+2.6+1.5
2016-10.3+6.3+2.3-2.5-2+2.1-3.3-1.9-1.5+0.2-2.1-0.3-7.6
2015-12.5-7.6-6.4-3+1.4-0.7+3.4-5.5+8.8+4.5-9.8-2.9+6.5
2014-7.9+2.6-4.4-0.9-1.8-3.1+0.1+3.2-2.1-2+2.8-4.7+2.5
2013-21.2-3+2.10-4.5-3.8+5.7-6.4+1.4-6.3-6-0.9-1.1
2012-20.2-4.8-4+1+5.7+6.2-7.4-3.4-5.3-1.3-2.4-3.2-2.5
2011+7.1-5.9-2.1+3.2-4+2.80+6.3+14.2+3.4-9.7+0.70
2010-------------5.3
Dollar cost averaging (DCA)
Total investmentProfit/Loss(Profit/Loss)/Inv
1 yr1100-64.3-5.8
3 yr3500-820.5-23.4
5 yr5900-1768.4-30
Dollar cost averaging (DCA) - 100€ each month
Net inflows / Market effect
Asset Under Management on 30/11/202110/2021T3/2021S1/20212020YTD
Fund83.9 M€-2.3 / -4.1+3.2 / -0.6-8.4 / -18.4-54.8 / -17-2.4 / -19.9

Details

Umbrella nameMULTI UNITS FRANCE
CurrencyEUR
Shareclass inception date03/04/2007
Distribution typeAccumulating
Legal FormCompany With Variable Capital (SICAV)
BenchmarkEURO STOXX 50 Short Return Index
Close-Ended Fundactive
French PEA ?No
SRRI
1234567
Is UCITS ?-
Is Feeder ?-
Has Formula ?-
AMF Classification-
Investors-
Initial Min. subscription-
Subsequent Min. subscription-
Recommended Investment Period-
NAV Frequency-
Distribution policy-
French PEA-PME ?-
Life Insurance-
RSI ?-

Fees

Max Management Fee0.40%
Ongoing Charges0.40%
Ongoing charges Date31/10/2020
Max Entry Fees-
Max Exit Fees-

Actors

Custodian/DepositorySGSS
AuditorPWC
Management CompanyLYXOR INTERNATIONAL ASSET MANAGEMENT
Administration/Accounting-

Other Shares/Classes