From: | Beginning of | 12/2013 | To: | End of | 4/2022 |
| Superfund Managed Futures Strategy I +Dividend | Return | Total performance | +93,16 % | | Return p.a. | +13,14 % | Risk | Maximum drawdown | -22,84 % | | Volatility p.a. | 13,66 % | | Downside Volatility | 10,68 % | Statistics | Sharpe Ratio | 0,96 | | MAR Ratio | 0,58 | | Sortino Ratio | 1,23 | | Correlation |
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