From: | Beginning of | 9/2003 | To: | End of | 11/2010 |
| Superfund Garant IV - B (EUR) | Return | Total performance | +25,23 % | | Return p.a. | +3,19 % | Risk | Maximum drawdown | -12,31 % | | Volatility p.a. | 10,32 % | | Downside Volatility | 6,23 % | Statistics | Sharpe Ratio | 0,31 | | MAR Ratio | 0,26 | | Sortino Ratio | 0,51 | | Correlation |
|