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Santander PB Dynamic Portfolio FI (0P0000RVDZ.F)

Frankfurt - Frankfurt Delayed price. Currency in EUR
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122.78-0.05 (-0.04%)
At close: 10:00PM CEST

Risk overview

Morningstar risk rating★★★
Number of years up10
Number of years down3
Best 1-yr total return (11 Jun 2024)14.13%
Worst 1-yr total return (11 Jun 2024)N/A

Risk statistics

3 years
0P0000RVDZ.FCategory average
5 years
0P0000RVDZ.FCategory average
10 years
0P0000RVDZ.FCategory average
Alpha
-1.61N/A
-1.66N/A
-2.42N/A
BETA
0.87N/A
0.9N/A
0.81N/A
Mean annual return
0.11N/A
0.26N/A
0.15N/A
R-squared
89.79N/A
88.88N/A
85.52N/A
Standard deviation
8.03N/A
8.4N/A
6.58N/A
Sharpe ratio
-0.02N/A
0.3N/A
0.26N/A
Treynor ratio
-0.56N/A
2.47N/A
1.83N/A