PRIM COMMODITIES R FR0011032226

ReturnsAnnu. ReturnsVolatilities
1 week-0.7--
4 weeks-3.1--
52 weeks-30.9-30.9+12.5
1 mon.-3.5--
3 mon.+0.4--
6 mon.-5.4--
1 yr-30.5-30.5+12.5
3 yrs-33.1-12.6+11.4
Max-43.5-13.3+14.2
YearJanFebMarAprMaiJunJulAugSepOctNovDec
2015-5.4-3.6+2.9-7.1+9.4-2.5-3.70-----
2014-23.5-2+2.8-1.9+1.1+0.9+3.1-2.1-0.8-7.4-4.2-6.7-8.5
2013-11.9+2.8-4.9-1.4-6.3-0.3-5.1+4.8+3.4-2.9-0.2-2.8+1.1
2012-0.5+7.5+3.1-3.4-2.1-8.9-0.7+1.1+4.6+4-4.9+1.9-1.6
2011-------+3.70-16+5.80-5.4
Net inflows / Market effect
Asset Under Management on 01/07/201506/2015T2/2015S1/20152014YTD
Fund1 M€-11.5 / -0.2-11.5 / +0.6-12.1 / -0.4-5.2 / -4.6-12.1 / -0.4
FR00110322180.9 M€-11.5 / -0.2-11.5 / +0.6-11.5 / -0.4-4.8 / -4.2-11.5 / -0.4
FR00110322260.1 M€0 / 00 / 0-0.6 / 0-0.4 / -0.4-0.6 / 0

Details

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SRRI
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Management CompanyPRIM FINANCE
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