Moorea Fund – Short Term Bonds RE
- -Buena relación rentabilidad/riesgo
ISIN: LU1115951946
Categoría Morningstar: EUR Diversified Bond - Short Term
Empresa:
ISIN: LU1115951946
Categoría Morningstar: EUR Diversified Bond - Short Term
Empresa:
The objective of the Sub-Fund is to deliver income and capital appreciation by investing in a diversified portfolio of debt securities denominated in Euro. The Sub-Fund aims at meeting the long-term challenges of sustainable development while delivering financial performance by the combination of financial and extra-financial criteria, integrating environmental, social and governance criteria (ESG). To achieve its objective, the Sub-Fund will invest in debt instruments among which fixed income bonds, floating rate debt instruments, commercial paper, certificates of deposit, UCITS, UCIs and UCITS ETFs. At least 90% of these debt instruments will be issued by corporate, governments, or public institutions denominated in Euro and rated Investment Grade.
Rentabilidad anual | 1 año | 3 años | 5 años | Inicio | 2024 | 2023 | 2022 | 2021 | 2020 |
---|---|---|---|---|---|---|---|---|---|
Rentabilidad anual: Fondo | 1 año: 5,65 | 3 años: 1,72 | 5 años: 1,47 | Inicio: 0,51 | 2024: 3,94 | 2023: 4,61 | 2022: -3,00 | 2021: 0,75 | 2020: 0,47 |
Rentabilidad anual: Categoría | 1 año: 5,58 | 3 años: 0,79 | 5 años: 0,48 | Inicio: - | 2024: 3,17 | 2023: 4,21 | 2022: -4,66 | 2021: -0,48 | 2020: 0,14 |
Rentabilidad anual: Percentil | 1 año: 38,00 | 3 años: 15,00 | 5 años: 9,00 | Inicio:- | 2024: 13,00 | 2023: 26,00 | 2022: 26,00 | 2021: 11,00 | 2020: 30,00 |
Riesgo | Volatilidad | Ratio Sharpe | Correlación | Beta | Alfa | Tracking error | Info Ratio |
---|---|---|---|---|---|---|---|
Riesgo: 3 años | 1 Volatilidad: 1,56 | 3 Ratio Sharpe: -0,17 | 5 Correlación: 46,84 | Beta: 0,30 | Alfa: 0,23 | Tracking error: 1,71 | Info Ratio: 0,75 |