Amundi Nasdaq-100 Daily (2x) Leveraged UCITS ETF Acc/  FR0010342592  /

Fonds
NAV19/07/2024 Var.-18.1759 Type of yield Focus sugli investimenti Società d'investimento
1,086.9716EUR -1.64% reinvestment Special Type ETF Special Amundi Asset Mgmt. 
 

Performance mensile

  gen feb mar apr mag giu lug ago set ott nov dic Totale
2006 - - - - - - -8.94 8.24 11.48 6.83 1.86 -1.99 -
2007 1.97 -4.18 -1.20 10.72 5.54 0.57 1.08 0.74 5.77 8.95 -11.78 -0.77 +16.53%
2008 -25.86 -9.75 -2.94 18.25 7.75 -15.54 0.98 7.39 -25.85 -18.73 -21.04 -7.11 -66.50%
2009 4.24 -9.57 14.49 30.38 -6.21 8.59 17.64 -0.65 8.65 -4.35 7.54 17.15 +119.26%
2010 -10.09 11.09 16.84 5.98 -8.41 -11.97 7.56 -8.09 18.60 10.79 5.92 6.33 +45.87%
2011 3.32 5.24 -4.02 0.90 0.49 -5.08 4.01 -11.93 -2.76 16.09 -2.55 1.77 +2.99%
2012 16.17 10.60 10.54 -2.00 -8.09 4.04 4.81 7.62 -0.32 -11.35 1.93 -2.76 +31.48%
2013 2.09 4.42 7.79 1.90 8.65 -5.25 10.30 -0.26 6.67 9.45 6.66 4.69 +72.86%
2014 -2.02 7.59 -5.32 -1.74 10.71 5.73 4.44 11.90 2.43 5.82 9.52 -2.03 +56.06%
2015 2.52 15.37 -0.72 -0.74 6.61 -6.55 9.62 -15.03 -4.49 24.60 5.35 -6.10 +27.34%
2016 -13.55 -4.26 8.30 -6.94 11.76 -4.89 13.73 2.23 3.18 -0.78 3.72 2.57 +12.27%
2017 7.82 10.46 3.17 3.45 4.02 -6.51 4.68 2.72 0.05 10.57 1.38 0.06 +49.17%
2018 13.48 -1.31 -9.25 1.89 15.06 1.74 4.86 12.53 -0.76 -15.57 -1.06 -18.82 -3.75%
2019 17.69 6.29 9.23 11.10 -15.97 12.89 6.71 -3.56 2.24 5.94 9.29 5.87 +85.72%
2020 7.02 -11.30 -20.69 30.95 10.67 11.23 8.97 21.73 -10.36 -6.34 19.50 7.75 +74.02%
2021 0.88 -0.44 5.40 9.20 -3.90 16.04 5.54 8.96 -9.66 16.37 6.36 0.78 +67.05%
2022 -15.76 -9.92 8.62 -21.73 -6.19 -16.25 28.95 -9.63 -18.79 5.83 5.38 -20.91 -57.69%
2023 19.24 0.63 16.05 -1.24 19.13 10.04 5.92 -2.35 -8.21 -4.75 18.01 9.27 +110.24%
2024 4.69 10.62 1.94 -8.59 10.65 13.63 -3.71 - - - - - -

Calculated values

  YTD 6 mesi 1 anno 3 anni 5 anni
Volatilità 30.86% 31.25% 31.35% 45.23% 50.18%
Indice di Sharpe 1.93 1.46 1.30 0.24 0.58
Mese migliore +13.63% +13.63% +18.01% +28.95% +30.95%
Mese peggiore -8.59% -8.59% -8.59% -21.73% -21.73%
Perdita massima -13.34% -13.34% -17.85% -61.11% -61.11%
Outperformance +85.99% - +100.35% +193.65% +333.32%
 
Tutte le quotazioni in EUR

Prestazione

YTD  
+30.64%
6 mesi  
+22.14%
1 anno  
+44.30%
3 anni  
+50.12%
5 anni  
+312.37%
10 anni  
+1556.86%
Dall'inizio  
+7084.95%
Anno
2023  
+110.24%
2022
  -57.69%
2021  
+67.05%
2020  
+74.02%
2019  
+85.72%
2018
  -3.75%
2017  
+49.17%
2016  
+12.27%
2015  
+27.34%
 

Dividendi

07/12/2011 0.32 EUR