Average Gain 1 Year |
1.46 |
Average Loss 1 Year |
-2.72 |
High 1 Year |
99.20 |
Low 1 Year |
90.46 |
Maximum Loss 1 Year |
-7.92 |
Performance Current Year |
3.37 |
Performance since Inception |
4.40 |
Sharpe Ratio 1 Year |
-0.23 |
Sortino Ratio 1 Year |
-0.29 |
Trailing Performance 1 Month |
-0.60 |
Trailing Performance 1 Week |
-0.50 |
Trailing Performance 3 Months |
3.12 |
Trailing Performance 6 Months |
5.15 |
Trailing Return 1 Month |
0.86 |
Trailing Return 1 Year |
0.61 |
Trailing Return 2 Months |
3.61 |
Trailing Return 2 Years |
1.08 |
Trailing Return 3 Months |
3.72 |
Trailing Return 6 Months |
5.19 |
Trailing Return 9 Months |
3.00 |
Trailing Return Since Inception |
1.76 |
Trailing Return YTD - Year to Date |
3.61 |
Volatility 1 Year |
8.61 |