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Start date:   month   year 

End date:    month   year 

 Inflation corrected

Rolling return: 

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Total performance
Return p.a.
Maximum drawdown
Volatility p.a.
Downside Volatility
Sharpe Ratio
MAR Ratio
Sortino Ratio
Download Timeseries  -  Product-Info
 From:  Beginning of  10/2003 
 To:  End of  11/2010 
Superfund Garant IV - B (EUR) - Trust part
 Return  Total performance+56,16 %
  Return p.a.+6,45 %
 Risk  Maximum drawdown-7,86 %
  Volatility p.a.5,88 %
  Downside Volatility2,67 %
 Statistics  Sharpe Ratio1,10
  MAR Ratio0,82
  Sortino Ratio2,42
 Correlation
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