Nombre
ISIN
  Tipo de beneficio
Divisa
Sociedad de fondos Prec. de rescate
Fecha
Rendimiento 3 meses Rendimiento 1 año Rendimiento 3 años Rendimiento 5 años SR (1A)
Volatilidad (1A)
 
ZEUS Income Preservation Fund Class...
LI0245926022
reinvestment
EUR
CAIAC Fund M. 981.6100
17/01/2025
+0.52% +3.52% -2.68% - 0.19
4.32%
ZEUS Global Value Class EUR
LI0020736646
reinvestment
EUR
CAIAC Fund M. 1,817.4301
17/01/2025
-1.08% +11.63% +0.76% +15.03% 0.91
10.02%
ZEUS Absolute Return Class EUR
LI0020736679
reinvestment
EUR
CAIAC Fund M. 1,046.7900
17/01/2025
-0.21% +2.32% -6.32% -8.87% -0.08
4.32%
VOLKSBANK FUNDS-Balanced Selection ...
LI0188197946
reinvestment
EUR
CAIAC Fund M. 64.9800
22/01/2025
+1.42% +9.89% +5.28% +12.85% 1.57
4.64%
Volksbank Funds - Premium Selection...
LI0312403749
reinvestment
EUR
CAIAC Fund M. 181.3300
22/01/2025
+1.06% +14.96% +12.95% +34.34% 1.39
8.82%
ValueDO Absolute Return Fund Class ...
LI0560400785
reinvestment
EUR
CAIAC Fund M. 79.9500
22/01/2025
+0.29% +7.13% -16.06% - 1.39
3.19%
Trend Performance Fund Class R
LI0202207192
reinvestment
EUR
CAIAC Fund M. 190.6900
22/01/2025
+2.43% +17.43% +28.21% +28.29% 1.08
13.62%
Trend Performance Fund Class I
LI0202206665
reinvestment
EUR
CAIAC Fund M. 201.1200
22/01/2025
+2.54% +17.68% +29.74% +30.84% 1.10
13.59%
Systematic DLT Fund USD B
LI0448059167
reinvestment
USD
CAIAC Fund M. 196.8400
20/01/2025
+1.05% +20.08% -1.59% +32.50% 0.43
41.13%
Systematic DLT Fund EUR B
LI0448059159
reinvestment
EUR
CAIAC Fund M. 338.8100
20/01/2025
+5.27% +25.43% +6.73% +43.04% 0.55
42.01%
Systematic DLT Fund EUR A Seeder
LI0448059126
reinvestment
EUR
CAIAC Fund M. 373.9300
20/01/2025
+4.40% +25.32% +10.17% +52.69% 0.55
41.76%
Systematic DLT Fund CHF B
LI0448059175
reinvestment
CHF
CAIAC Fund M. 247.7200
20/01/2025
+6.11% +25.09% -2.84% +25.66% 0.53
42.6%
Systematic DLT Fund CHF A Seeder
LI0448059142
reinvestment
CHF
CAIAC Fund M. 316.5900
20/01/2025
+6.35% +26.61% +1.60% +35.95% 0.57
42.6%
Superfund White Inflation Fund Clas...
LI1231312987
reinvestment
EUR
CAIAC Fund M. 9.7100
21/01/2025
-5.45% +1.46% - - -0.11
10.58%
Superfund White Inflation Fund Clas...
LI1231312862
reinvestment
CHF
CAIAC Fund M. 8.7500
21/01/2025
-6.02% +0.11% - - -0.24
10.54%
Superfund Systematic Investment Fun...
LI1143292541
reinvestment
USD
CAIAC Fund M. 131.4400
31/12/2024
+15.60% +27.80% - - -
11.06%
Superfund Systematic Investment Fun...
LI0596064134
reinvestment
EUR
CAIAC Fund M. 101.2600
15/01/2025
+19.42% +47.91% +21.59% - 1.09
41.8%
Superfund Systematic Investment Fun...
LI0596063748
reinvestment
EUR
CAIAC Fund M. 99.1200
15/01/2025
+20.47% +48.69% +19.83% - 1.09
42.48%
Superfund Gold, Silver + Mining Fun...
LI1231313274
reinvestment
USD
CAIAC Fund M. 11.9200
21/01/2025
-10.31% +23.65% - - 0.94
22.33%
Superfund Gold, Silver + Mining Fun...
LI1231313431
reinvestment
EUR
CAIAC Fund M. 11.4000
21/01/2025
-10.87% +20.76% - - 0.81
22.45%