CT Real Estate Equity Market Neutral Fund A Acc EUR
ISIN: IE00B7V30396
Categoria Morningstar: Equity Market Neutral EUR
Empresa: Columbia Threadneedle Investments
ISIN: IE00B7V30396
Categoria Morningstar: Equity Market Neutral EUR
Empresa: Columbia Threadneedle Investments
The investment objective of the Fund is to generate long term capital appreciation by investing, using a long/short market neutral strategy, in the securities of issuers participating in real estate, the construction / development of real estate, the trading or management of real estate and related activities. The investments of the Fund will be predominantly in, but not restricted to, companies that have their domicile, incorporation or primary listing in Europe or which are listed elsewhere but derive a substantial proportion of their revenue or profits from investments or business conducted in or with Europe. Europe will for this purpose include the member states of the EU, the EEA and Switzerland, Turkey and non-EU/EEA member states in Eastern Europe.
Rentabilidade anual | 1 ano | 3 anos | 5 anos | Início | 2024 | 2023 | 2022 | 2021 | 2020 |
---|---|---|---|---|---|---|---|---|---|
Rentabilidade anual: Fundo | 1 ano: 4,71 | 3 anos: 2,35 | 5 anos: 2,87 | Início: 2,49 | 2024: 3,49 | 2023: 5,91 | 2022: -4,40 | 2021: 4,94 | 2020: 3,76 |
Rentabilidade anual: Categoria | 1 ano: 11,41 | 3 anos: 5,52 | 5 anos: 4,80 | Início: - | 2024: 8,17 | 2023: 1,70 | 2022: -1,70 | 2021: 1,98 | 2020: -0,90 |
Rentabilidade anual: Percentil | 1 ano: 48,00 | 3 anos: 44,00 | 5 anos: 48,00 | Início:- | 2024: 51,00 | 2023: 23,00 | 2022: 65,00 | 2021: 30,00 | 2020: 31,00 |
Risco | Volatilidade | Rácio de Sharpe | Correlação | Beta | Alfa | Tracking error | Rácio de informação |
---|---|---|---|---|---|---|---|
Risco: 3 anos | 1 Volatilidade: 2,93 | 3 Rácio de Sharpe: 0,25 | 5 Correlação: 3,12 | Beta: 0,01 | Alfa: 0,74 | Tracking error: 6,77 | Rácio de informação: 0,52 |