|  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 |