NAV22.01.2025 Diff.+1.2100 Ertragstyp Ausrichtung Fondsgesellschaft
201.1200EUR +0.61% thesaurierend Mischfonds weltweit CAIAC Fund M. 
 

Monatliche Performance

  Jan Feb Mär Apr Mai Jun Jul Aug Sep Okt Nov Dez Gesamt
2013 - 1.60 1.92 -0.87 1.24 -1.65 2.24 -0.38 0.98 3.47 1.38 0.00 +10.52%
2014 -2.66 1.70 -2.88 -0.43 3.35 -1.40 -1.39 2.64 1.43 2.86 2.37 0.70 +6.18%
2015 4.85 4.80 1.42 -1.93 1.98 -1.84 3.62 -5.86 -0.73 6.13 2.79 -2.98 +12.13%
2016 -3.28 -0.97 0.53 -0.58 2.51 0.98 1.46 -0.62 -0.59 -2.55 0.63 2.49 -0.16%
2017 0.80 4.17 0.77 0.50 0.75 -2.60 -2.20 -0.95 1.09 2.83 -0.06 0.45 +5.49%
2018 0.86 -1.73 -2.00 0.90 3.42 -0.65 1.56 2.93 0.62 -5.14 -0.43 -4.12 -4.09%
2019 1.41 1.88 3.53 2.44 -3.43 2.89 1.44 0.22 0.17 -1.30 1.92 0.46 +12.07%
2020 0.02 -7.32 -7.76 5.95 2.56 -0.42 0.89 3.53 -0.80 -3.26 4.22 1.16 -2.23%
2021 -1.36 -0.80 2.65 5.34 -0.24 4.11 1.49 2.94 -3.04 6.52 -0.45 3.52 +22.19%
2022 -9.76 -3.67 2.77 -7.27 -3.40 -7.09 12.21 -5.78 -7.01 5.41 3.62 -6.56 -25.38%
2023 6.72 0.82 2.88 0.11 2.29 3.57 1.95 -0.86 -2.35 -1.63 6.18 1.97 +23.40%
2024 5.60 5.23 2.08 -4.11 1.93 4.12 -0.86 0.82 0.61 -0.91 5.44 -1.03 -
2025 2.26 - - - - - - - - - - - -

Kennzahlen

  lfd. Jahr 6 Monate 1 Jahr 3 Jahre 5 Jahre
Volatilität 13.96% 15.41% 13.59% 16.84% 16.67%
Sharpe Ratio 3.02 0.85 1.10 0.38 0.17
Bester Monat +2.26% +5.44% +5.60% +12.21% +12.21%
Schlechtester Monat -1.03% -1.03% -4.11% -9.76% -9.76%
Maximaler Verlust -1.83% -6.76% -8.44% -21.38% -28.18%
Outperformance +3.03% - +2.03% +4.55% +11.38%
 
Alle Kurse in EUR

Tranchen

Titel   Ertragstyp Rückn. Preis 1 Jahr 3 Jahre
Trend Performance Fund Class R thesaurierend 190.6900 +17.43% +28.21%
Trend Performance Fund Class I thesaurierend 201.1200 +17.68% +29.74%

Performance

lfd. Jahr  
+2.26%
6 Monate  
+7.64%
1 Jahr  
+17.68%
3 Jahre  
+29.74%
5 Jahre  
+30.84%
seit Beginn  
+101.12%
Jahr
2023  
+23.40%
2022
  -25.38%
2021  
+22.19%
2020
  -2.23%
2019  
+12.07%
2018
  -4.09%
2017  
+5.49%
2016
  -0.16%